Zarenu Vixalo — editorial visualization of real-time market data on parchment background

Business intelligence that transforms your market data into clear priorities

Zarenu Vixalo continuously observes market flows, measures your risk tolerance and adjusts your exposure without waiting for your validation each cycle. You keep the strategy, the platform executes the tactics.

Optimize my decisions

Continuous summary of market signals and risk thresholds calculated by the model, rendered in a form readable at a glance.

Observation

The cost of hesitation in the face of information overload

Every day, increasing volumes of financial and operational data circulate faster than the human capacity to interpret it. A delay of a few hours in the analysis can be enough to transform an opportunity into an uncontrolled risk.

Zarenu Vixalo builds continuously updated predictive models, calibrated to your personal risk profile rather than a generic market average. The adjustment is carried out autonomously, without requiring your validation for each variation observed.

  • Continuous monitoring markets, without interruption linked to time zones.
  • Individual calibration of the risk, updated with each new data received.
  • No manual re-entry : adjustments apply directly to portfolio monitoring.
Zarenu Vixalo — risk analysis and financial data interface
Technical pillars

Three abilities that structure the decision

Predictive intelligence

The models anticipate likely market developments based on historical signals and real-time data, reducing the reaction time needed to adjust a position before it becomes irrelevant.

Dynamic risk adjustment

The exposure of your portfolio evolves according to the tolerance thresholds you have defined, without repeated manual intervention, while maintaining a clear trace of each decision made by the system.

High frequency data synthesis

Disparate streams – economic news, market movements, sectoral indicators – are consolidated into a single reading, avoiding the dispersion of attention on unrelated sources.

Method

From market noise to reasoned decisions

01 — Aggregation

Collection and standardization

Raw data from multiple market sources is collected and normalized to eliminate format inconsistencies before analysis.

02 — Analysis

Signal filtering

Predictive models isolate meaningful signals from ambient noise, taking into account the macroeconomic context and historical behavior of each asset class.

03 — Optimization

Application to wallet

The recommendations are adjusted to your risk profile and applied according to the parameters you have defined, with full traceability of each arbitrage made.

Tactical execution that does not depend on your location

Zarenu Vixalo runs in the background, whether it's a time zone shift or an intermittent connection while traveling. You define the strategy and the tolerance thresholds; the platform provides tactical monitoring, continuous analysis and risk adjustment, regardless of your presence in front of a screen.

Transparency

Questions our users ask

How is risk control guaranteed?

You define the tolerance thresholds and exposure limits upstream. The system adjusts its recommendations within this framework and does not exceed them without further validation from you.

How is my data protected?

The data passes encrypted and is only used to calibrate your risk profile. No data is shared with third parties for commercial purposes.

Does the platform accommodate different sized wallets?

The models are calibrated individually, whether for a portfolio in the build-up phase or for a more diversified set of assets. The adjustment logic remains the same; only the parameters vary.

Get a head start on the market.

Define your risk profile in minutes and let the model take over tactical execution, while you focus on the big picture strategy.

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