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411 University St, Seattle, USA

engitech@oceanthemes.net

+1 -800-456-478-23

Welcome to IBT Technologies: The Future of Debt Investing
Our platform combines generative and analytical Al to create intelligent solutions across private, structured and public credit, with OTC derivative overlay. This allows even the most sophisticated institutional investors to turn data into actionable intelligence.
About us
Who we are
We help your fund manager to spend more time with clients, building relationships and sourcing new mandates, while ensuring that clients’ assets are proactively monitored, regardless of how many holdings they have in their portfolio. Imagine all your private debt holdings being risk-monitored, rated and valued correctly.
We Empower
Who is this for?
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Institutional investors
include asset managers, pension funds, insurers, endowments, hedge funds, family offices, sovereign wealth funds
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Investment and risk teams professionals who want to work faster, more accurately and reduce risks
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Investment professionals
with concrete user personas, fund managers, risk and quantitative analysts, compliance officers and private debt analysts
What We Offer
Our Products
At the heart of IBT Technologies lies our advanced AI-powered investment intelligence platform, designed to revolutionize debt investing. Our Al powered research and analytics capabilities are not just another tool – it’s your intelligent partner in navigating the complexities of the debt market.

Caliber
Research

Caliber
Private

Caliber
Signal

Caliber
Allocate

AlphaOne

About product
How it works?
Caliber Research
The Caliber Research helps you to stay ahead of the market with real-time analytics, ai-augmented collaborative workflows and forward-looking industry and company insights.
React faster with AI-driven risk predictions
Use AI agents to write research and improve total returns
Uncover hidden trends and opportunities before others do

Caliber Research

Caliber Private

Caliber Private
Provides access to the attractive returns on offer in this rapidly growing section of the credit market and assists credit teams and analysts by providing a tailored rating framework drawing on multiple comparisons with similar investments on a global basis and across industry sectors.

Upload and centralise internal documents with automated data enrichment

Build customised risk scorecards for issuers and private credit facilities


Generate tailored credit memos, covenant analysis, and internal risk reports

Caliber Allocate

Caliber Allocate
The Caliber Allocate optimises your portfolios by maximising yield or minimising tracking error while staying aligned with your investment strategy.
Seamlessly upload your portfolio to the platform

AI-powered optimization ensures returns are maximized within your risk parameters

Continuous portfolio monitoring helps you stay proactive and adjust in real-time
AlphaOne
AlphaOne is a data product that allows Long/Short credit hedge funds to generate a shortlist of total return trade ideas.
Bespoke scores and predictive trade ideas across IG and HY
Assistance with the creation of custom market-neutral credit strategies
Generate long/short trade ideas instantly and form market neutral portfolio for your specific investment universe

AlphaOne

Caliber Signal
Caliber Signal is a multi-algorithmic model that generates predictive trade insights and risk recommendations, helping investors proactively manage risk and identify emerging investment opportunities.
Off-the-shelf caliber signal for public credit securities
Pricing and risk recommendations
Delivered daily via API or CSV

Caliber Signal

Cases
Why businesses work with
IBT Technologies?

Our products allow you to invest smarter, faster and more profitably. Our services help your investment team to double their productivity while also improving investment performance and reducing costs.

Our Team
Igor Tesinsky
Founder and CEO
Fixed Income professional with 15+ years of experience in credit risk and portfolio management, Ex-Conning, Swiss Re and UniCredit
Paul Hatfield
Executive Chairman and Interim CFO
Co-Founder and Former Chief Investment Officer at Alcentra with over 30 years of experience in credit, business consultant to the credit industry
Marc Steiner
COO
Co-Founder. More than 20 years of experience in FICC. Former Head of Fixed Income Solutions for Pension and Insurance Companies in Germany & Austria at Morgan Stanley and Credit Suisse. Experienced investor and advisor to FinTech Start Ups
Prof. Brian Healy
Non-Executive Director & AI Advisor
Professor at UCL 15 years of experience, specializing in transforming complex data sets into actionable investment insights
Matthew Marr
Head of Data Science
Expert in predictive modelling, AI-driven insights, and portfolio optimisation. Previously worked on analytics and ratings intelligence at Intellibonds and UBP
Andrew Bailey
Non-Executive Director
A seasoned professional with more than 20 years experience in insurance, regulation and risk management of complex financial and non-financial exposures
Igor Tesinsky
Founder and CEO
Fixed Income professional with 15+ years of experience in credit risk and portfolio management, Ex-Conning, Swiss Re and UniCredit
Paul Hatfield
Executive Chairman and Interim CFO
Co-Founder and Former Chief Investment Officer at Alcentra with over 30 years of experience in credit, business consultant to the credit industry
Matthew Marr
Head of Data Science
Expert in predictive modelling, AI-driven insights, and portfolio optimisation. Previously worked on analytics and ratings intelligence at IntelliBonds and UBP
Marc Steiner
COO
Co-Founder. More than 20 years of experience in FICC. Former Head of Fixed Income Solutions for Pension and Insurance Companies in Germany & Austria at Morgan Stanley and Credit Suisse. Experienced investor and advisor to FinTech Start Ups
Prof. Brian Healy
Chief Technology Officer & Chief Data Scientist
Professor at UCL 15 years of experience, specializing in transforming complex data sets into actionable investment insights
Andrew Bailey
Non-Executive Director
A seasoned professional with more than 20 years experience in insurance, regulation and risk management of complex financial and non-financial exposures