Vestreach Partners routes capital into AI-ranked strategies and replicates their execution in real time, giving Canadian professionals a documented, backtested path to risk-adjusted returns without active trading.
Vestreach Partners was built around a simple constraint: no recommendation reaches a client's account until it has survived structured backtesting against historical and live market data.
Our analysts work alongside the models, not instead of them — reviewing training data, flagging anomalies, and reporting on performance in plain language rather than marketing claims.
Read our methodologyEach signal passes through a defined sequence before it is ever copied into a client account. The process is designed to be auditable, not opaque.
Market feeds, order-book depth, and macro indicators are standardized so the model is comparing equivalent conditions across assets and time periods.
Candidate strategies are scored against historical performance and stress-tested across multiple market regimes before qualifying for live allocation.
Qualified signals are executed proportionally into client accounts, with position sizing adjusted to each account's risk parameters.
These figures describe model behaviour over the trailing reporting period. They are historical and do not represent a projection of future results.
Weekly signal-to-execution efficiency across the trailing quarter, showing gradual stabilization rather than a single outsized result.
Data transparency note: all figures are drawn from internal backtesting and live execution logs, refreshed weekly. Historical performance is not a guarantee of future outcomes, and individual account results will vary with allocation settings.
Three mechanisms work together to keep exposure controlled while removing manual trading decisions from the client's day.
Once a strategy clears review, trades are placed directly through connected brokerage APIs. There is no manual approval step on the client side, which removes execution delay and emotional decision-making from the process.
Execution logs are timestamped and retained, so every trade can be traced back to the signal that generated it.
Signals are generated from pattern recognition across price action, volume, and volatility data, then weighted by how reliably similar patterns have performed historically under comparable conditions.
Each signal carries a confidence score, which determines how much capital is allocated to it relative to other active positions.
Allocations are spread across uncorrelated strategies and asset classes to limit the impact of any single model underperforming in a given period.
Exposure caps prevent any one strategy from exceeding a fixed share of total account value, regardless of how strong its recent performance has been.
These are the questions we are asked most often by professionals evaluating the platform for the first time.
Brokerage connections use read-and-trade API keys scoped to execution only; Vestreach Partners never holds custody of client funds directly. Credentials are encrypted at rest, and API permissions can be revoked by the client at any time through their connected brokerage.
Because assets remain in your own brokerage account rather than a pooled fund, liquidity is governed by your broker's standard withdrawal terms. You can pause signal replication from the dashboard at any time without closing existing positions.
Models are trained on historical and live market data, including price, volume, and volatility series across supported asset classes. Training sets are periodically refreshed and backtested before any retrained model is promoted to live signal generation.
Vestreach Partners provides analytics and execution automation layered on top of your existing brokerage relationship; it does not act as a registered portfolio manager. We recommend reviewing allocation settings against your own risk tolerance and, where appropriate, consulting a licensed financial advisor.
Pricing details and current plan tiers are outlined on the dashboard sign-up page, since they are subject to periodic review. No allocation or trade is executed until a plan has been selected and brokerage access confirmed.
The dashboard gives full visibility into backtested results, current allocations, and signal history, so you can evaluate the approach on its own data rather than on our description of it.