Gradanski kapital processes large amounts of market data using artificial intelligence models and turns it into concrete recommendations. The result is less risk and a clearer picture before every decision.
Request a demoMarkets today generate volumes of data that exceed the capabilities of manual analysis. Signal is mixed with noise, and decisions are often made based on an incomplete picture.
Gradanski kapital filters out relevant patterns and leaves you with a clear, verified overview before you invest capital.
The system continuously collects market, financial and macroeconomic data from verified sources, in real time.
The model is validated on historical market cycles. We use historically tested strategies before offering them as recommendations.
You get a concrete recommendation with a reason behind it, ready to apply to your portfolio.
Each strategy is tested against historical data before it becomes part of the recommendation. This reduces reliance on assumptions and increases the precision of decisions.
The model monitors the portfolio continuously and warns of a change in exposure before it affects the return. Reduce risk without manually monitoring the market every day.
Recommendations are adjusted to portfolio size and risk profile. Anticipate yield movements before you allocate capital, instead of after.