KAELOR CAPITAL / GLOBAL MARKET INFRASTRUCTURE

Kaelor Capital builds
the intelligence behind
tomorrow's global markets.

Kaelor Capital develops technology, compliance architecture and operating systems for tokenized securities, foreign exchange and real-world assets.

01Global markets
02Real-world assets
03Regulation-ready systems
04UAQC quantitative system
KAELOR CAPITALCOMPANY PROFILE
OUR FOCUSMarket infrastructure
for a broader world
of assets.
01GLOBAL MARKETSBUILDING
02RWA INFRASTRUCTUREBUILDING
03COMPLIANCE ENGINEERINGBUILDING
04INSTITUTIONAL SYSTEMSBUILDING
FLAGSHIP SYSTEMUAQCAI QUANTITATIVE INFRASTRUCTURE

Company profile

One firm.
Three operating
disciplines.

Kaelor Capital sits at the intersection of traditional financial markets, crypto-native infrastructure and regulatory design.

We are building for a market where asset ownership, settlement and disclosure can operate on a common digital foundation.
01

Markets

Experience across equities, derivatives and foreign exchange.

02

Technology

High-throughput systems and tokenization infrastructure.

03

Regulation

Compliance architecture designed around real operating constraints.

Kaelor Capital flagship system

UAQC

Quantitative Intelligence for Real-World Markets

An AI-assisted quantitative system being developed to coordinate liquidity, risk management and asset-backed market infrastructure across traditional and digital venues.

01

AI-Driven Liquidity Enhancement

Multi-layer quantitative strategies with adaptive risk hedging.

UAQC is designed to identify relative-value opportunities across centralized and decentralized markets, combine strategy-level hedging with systematic risk controls, and adapt exposure when market conditions deteriorate.
ARBITRAGE · HEDGING · RISK CONTROL
02

Three-Dimensional Compute Alignment

Time, scale and continuity aligned around durable liquidity.

The system's incentive architecture is conceived around long-term participation, operating scale and sustained system contribution—supporting a more stable asset base rather than short-lived speculative activity.
TIME · SCALE · CONTINUITY
03

Asset Risk Segregation

Legal isolation and auditable value flows by design.

Planned SPV structures separate eligible offchain assets from operating-company finances. Reserve interests, governance controls and lifecycle records are designed as distinct layers with transparent, auditable responsibilities.
SPV · RESERVES · GOVERNANCE
SYSTEM STATUSIN DEVELOPMENT DESIGN PRINCIPLERISK-FIRST · ASSET-AWARE · AUDITABLE

Business landscape

A widening
market horizon.

Kaelor's operating model starts with liquid global markets and extends toward a broader real-world asset economy.

Launch market

Public-market exposure on programmable infrastructure.

A future market layer for selected US stocks and ETFs, designed around transparent backing, fractional positions and synchronized corporate-action records.

  • Asset-backed issuance
  • Fractional ownership
  • Primary and secondary markets

Institutional capabilities

From asset structure
to market operation.

01Advisory

Asset suitability, issuance structures and market-entry planning.

02Compliance

KYC/AML, investor eligibility, whitelisting and transfer restrictions.

03Tokenization Technology

Digital registration, smart contracts, holder records and corporate actions.

04Lifecycle Operations

Subscriptions, disclosures, distributions, redemptions and market support.

What we are building

Three layers.
One market system.

01

Market Access

Unified account and market interfaces across eligible asset classes.

ARCHITECTURE-READY
02

Asset & Compliance

Issuance records, eligibility rules, disclosures and lifecycle controls.

ARCHITECTURE-READY
03

Market Engine

Execution, settlement, risk and liquidity systems for future global markets.

ARCHITECTURE-READY

Trust & compliance

Designed around
the asset—not
the interface.

Underlying value, legal ownership and market access are conceived as distinct, auditable layers.

01Underlying AssetCustody record
02Segregated VehicleLegal isolation
03Digital InstrumentEligibility controls
04UAQC SystemRisk and liquidity layer
01Bankruptcy-remote SPV structuresPLANNED CONTROL
02Independent custody and audit trailsPLANNED CONTROL
03Proof-of-reserves disclosure systemsPLANNED CONTROL
04Whitelisted transfers and eligibility rulesPLANNED CONTROL
05Automated liquidity and risk controlsPLANNED CONTROL
PLANNED INFRASTRUCTUREEthereumSolanaERC-3643CMTAT

Ecosystem collaboration

A future venue
for connected markets.

Lyrkael is an independent exchange project collaborating with Kaelor Capital. Future integration is planned as the UAQC system, market infrastructure and regulatory framework mature.

PLANNED PARTNER EXCHANGELYRKAEL
OFFICIAL DOMAINlyrkael.com
Future integration · Subject to development and regulatory milestones

Leadership

Built across
market disciplines.

Traditional finance, crypto-native systems and regulatory expertise brought into one operating team.

01

Alex Rivera

Founder & CEO

Founded Kaelor Capital in 2009 in the aftermath of the global financial crisis. For more than a decade, he has led the development of UAQC—Kaelor's flagship quantitative system combining systematic research, AI-driven market intelligence and layered risk controls. Rivera is recognized for translating complex market behavior into disciplined, transparent frameworks built for real-world uncertainty.

FOUNDER · QUANTITATIVE INTELLIGENCE
02

Dr. Mei Lin

Co-founder & CTO

Former Google distributed-systems architect and Binance RWA technical advisor. Specializes in high-throughput trading engines and tokenization infrastructure.

SYSTEMS · TOKENIZATION
03

Sarah Thompson

Chief Compliance Officer

Former SEC securities regulatory advisor and Interactive Brokers compliance director. Led licensing programs for tokenized-securities platforms.

REGULATION · LICENSING
04

Elena Vargas

Chief Product Officer

Former Revolut FX and equities product leader, focused on intuitive trading and cross-border investment experiences.

EXPERIENCE · FX

Founder perspective

“Markets are not normally distributed. They are more unforgiving than any formula.”

For Alex Rivera, that lesson transformed a career in markets into a long-term effort to build financial intelligence capable of learning from complexity—not merely repeating historical patterns.

KNOWN TO EARLY STUDENTS ASWISEOWLClarity in uncertainty · Discipline under pressure
2008

A market reckoning

The financial crisis convinced Rivera that markets were more nonlinear, fragile and human than the formulas used to describe them. That realization became the starting point for a different kind of system.

2009

Kaelor Capital begins

Rivera assembled a small team to build trading infrastructure from first principles—combining market education, systematic research and a mission to help people rebuild financial confidence.

2010–2015

The quantitative foundation

Years of live-market learning, model iteration and operational setbacks established the discipline behind Kaelor's first generation of quantitative systems.

2016

UAQC research begins

Inspired by advances in neural networks, Rivera expanded the research team and established the foundation of UAQC: quantitative rules for discipline, with AI models designed to detect nonlinear market structure.

2020–2025

Stress, adaptation and validation

Pandemic-era volatility exposed the limits of the early system. Kaelor responded with a multidisciplinary structure spanning AI, quantitative research, NLP, risk and low-latency engineering.

Today

UAQC enters its next chapter

Years of quantitative research, AI development and live-market learning now converge in UAQC—Kaelor Capital's flagship system, designed around adaptive intelligence, layered risk controls and auditable market infrastructure.

RIVERA'S OPERATING PHILOSOPHY
“Quantitative systems reveal patterns. AI reveals complexity. The purpose of both is to give more people better tools to understand and protect their financial future.”

Advisory network

Former NYSE digital-assets executiveFormer CME FX derivatives specialistBig Four RWA audit partnerCross-over crypto and traditional-finance VC partner

Planned operating footprint

50–80Launch organization
SG / DXBProposed headquarters
US / EUPlanned regulated entities

UAQC roadmap

Build the system.
Validate the edge.
Connect the market.

A staged path from quantitative infrastructure and risk validation toward partner-market integration.

  1. Quantitative research and execution framework
  2. Multi-venue strategy and hedging environment
  3. Risk engine, controls and monitoring
  4. SPV and reserve architecture design

Corporate FAQ

The company.
The platform.
The direction.

Kaelor Capital is building institutional market infrastructure across tokenized securities, foreign exchange and real-world assets.

Long-term direction

Intelligence first.
Markets connected.

Kaelor Capital is assembling the quantitative, financial and regulatory foundations for a more resilient global asset economy.

FLAGSHIP SYSTEMUAQCQUANTITATIVE MARKET INFRASTRUCTURE