About Bimini
We started with a simple observation: markets move before news breaks. We built the system to see it.
Our Thesis
Every day, securities move in ways that conventional analytical frameworks cannot explain. Price dislocations, unusual order-flow patterns, volume behavior inconsistent with any known catalyst — this activity appears in publicly observable market data before any news, announcement, or disclosure event arrives.
The tools institutional investors currently rely on — risk models, factor frameworks, quantitative screens — were designed to explain the past. They work backwards from known information, measuring exposures to variables that have already been identified. By definition, they cannot detect what hasn't been announced yet.
We saw the gap. We built the infrastructure to close it.
Bimini exists to detect pre-disclosure behavioral anomalies in publicly observable market data — and to validate them through multi-signal correlation. This is a new category of market intelligence.
Leadership
Co-Founder & CEO
Andrew brings over two decades at the intersection of technology, capital, and brand.
As former Managing Partner at Overdune Capital and Dividx Capital, he spent a decade deploying private capital across traditional and digital asset markets — experience that informed exactly where predictive intelligence creates real investment value.
He leads Bimini's strategy, capital formation, and go-to-market execution.
Co-Founder & CTO
Michael is the architect of the Negative Latency Intelligence platform.
As the quantitative trader and AI engineer behind Ghost Pattern detection, he built the system from the ground up — from proprietary data ingestion through the AI models that identify behavioral anomalies in live exchange data.
His work sits at the intersection of market microstructure and machine intelligence.
Our Philosophy
We produce statistical indicators, not certainty claims. Ghost Patterns are signals — they require interpretation and context. We build tools that make investors smarter, not tools that make decisions for them.
Everything we do is built on publicly available market data. We do not use, seek, or claim to identify material non-public information. Our edge is in detection and correlation — not in access.
Factor models, VaR, technical analysis — these tools serve their purpose. Bimini adds a predictive layer that works alongside existing risk infrastructure. We detect what your current stack cannot see.
We build for sophisticated investors who understand probabilistic signals. Every claim we make is defensible. Every output includes appropriate caveats. We operate with the rigor the institutional market demands.
Whether you're an investor, potential client, or strategic partner — we'd like to hear from you.
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