Kvatiselku analyzes algorithmic market strategies in real time and allows you to automatically replicate those with the best historical performance, within the risk limits that you define.
Between the billing of one project and the next, a good part of independent professionals leave liquidity idle or make investment decisions without the time necessary to study markets. Manual analysis of strategies, metrics, and cycles requires hours that directly compete with billable work.
The usual consequence is not a lack of capital, but a lack of a system that judiciously manages it while you serve your clients.
The system identifies algorithmic strategies with consistent performance history and replicates their operations automatically in the user's account, respecting the previously configured parameters.
Each replicated strategy operates under maximum exposure limits and exit rules defined by the user, so that no individual decision compromises the capital allocated to fiscal provision or reserves.
Predictive models continually recalculate the performance of each strategy and adjust capital allocation as market conditions change, without you needing to monitor every move.
We do not use testimonials or generic illustrative cases. The selection process is based on quantifiable and verifiable criteria on each available algorithmic strategy.
Historical series and real-time market data from multiple sources are aggregated to feed predictive models.
Each strategy is scored according to risk-return ratio, temporal consistency and behavior in different market cycles.
The user defines their risk tolerance and time horizon; The system discards strategies that do not fit those parameters.
The selected strategies are executed automatically, with periodic reports that the user can audit at any time.
Data security: Access credentials and information for each account are processed in encrypted form and are not shared with third parties unrelated to the execution of the contracted strategies.
Low volatility strategies aimed at maintaining capital allocated to taxes and fixed expenses, with limited exposure to sudden market movements.
Strategies with greater exposure to risk, aimed at self-employed people who seek to grow surplus revenue during periods of high demand.
Strategies with short turnover cycles, designed for those who need to be able to withdraw capital relatively quickly between orders.
Kvatiselku is dedicated to the development of predictive models and asset optimization systems for independent professional profiles. The approach is technical: we analyze, you decide.
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The strategies operate through authorized connections to the user's account, without direct custody of funds by Kvatiselku. Each replica is registered and auditable from the user panel.
Access to liquidity depends on the broker or entity where the account is hosted and the active strategy at that time. Short rotation strategies are designed to minimize capital lock-in time.
An operating account at a compatible broker and the prior definition of a risk profile are required. There is no minimum billing volume required as a self-employed person to access the initial analysis.
The first step is an analysis of your financial situation and your risk tolerance. From there, you decide which strategies to activate.