Optimize your investments and reduce your risks with real-time predictive analytics.
Three technical functions structure the platform: ingestion, modeling and risk management.
Our systems aggregate massive data streams from financial markets and digital assets to update indicators with each processing cycle.
Stochastic models anticipate several market scenarios and prioritize exploitable signals according to their probability and estimated impact.
Each recommendation is accompanied by a risk assessment, to secure capital allocation before any investment decision.
The analysis cycle takes place in three stages, repeated daily to ensure up-to-date decision-making dashboards.
Raw data – prices, volumes, macroeconomic indicators, on-chain flows – are collected and normalized continuously.
Predictive models identify significant correlations and evaluate the probability of each selected scenario.
An actionable summary is published as a daily report, including suggested portfolio adjustments.
The rigor of the platform is based on regular release cycles and a continuously monitored infrastructure.
Analysis reports are updated every business day, with systematic timestamps of data updates.
The processing infrastructure is continuously monitored; any incidents are recorded and communicated to the users concerned.
Data encryption and separation of access, according to practices consistent with financial sector standards.
The platform adapts to the analysis needs of investors and financial departments.
Identify weak signals before the market. Track the evolution of your positions via detailed daily reports and consolidated performance indicators.
Optimize your capital allocation. Integrate predictive indicators into your budgeting decisions and asset management.
Access daily reports and recommendations based on ongoing analysis of your market data.
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