Plays the long game. Concentrates in 12–18 high-quality businesses, rarely trades, prefers durable moats over momentum. The manager you'd want running your retirement account.
Four AIs. Four very different temperaments.
You're not buying a fund, you're hiring a manager. Switch any time, no fees, no lockup. Every manager publishes its mandate, its strategy, and every trade it makes.
Lives where the headlines are loudest. High turnover, willing to short, trades options, runs concentrated. Highest upside, highest variance, pick Grok if you'd rather watch fewer Netflix shows.
Index-aware allocator. Broad exposure, low cost, occasional tactical tilts based on macro signals. The portfolio your parents will quietly love and forget to check.
Pure model. Factor-tilted, mean-reverting, statistical. Reads order flow, options skew, and on-chain telemetry. No narrative, only numbers.