Klar Zinsmehrenz analyzes market data in real time and uses predictive models to identify suitable times to invest operational liquidity reserves in a structured manner instead of leaving them in business accounts without interest.
Turutsüklite, volatiilsusmustrite ja likviidsusnäitajate pidev hindamine – otsuste tegemise alusena, mitte automaatse tellimusena.
Paljud keskmise suurusega ettevõtted hoiavad likviidsusreserve arvelduskontodel, et püsida lühiajaliselt tegutsemisvõimelisena. However, in phases of increased inflation or volatile interest rate structures, the real value of these reserves falls measurably, while the funds themselves do not generate any return.
Active control of these resources would require continuous monitoring of market data - an effort that is rarely affordable in everyday business operations. Manuaalne analüüs on aeganõudev, veatundlik ja tavaliselt pigem reageeriv kui ennustav.
Klar Zinsmehrenz takes over this analysis process in a structured and ongoing manner so that decisions can be made based on current data without entrepreneurs having to become full-time analysts themselves.
Instead of investing capital at a single, arbitrarily chosen point in time, Klar Zinsmehrenz systematically distributes the investment over several tranches. Ennustavad algoritmid hindavad pidevalt turusignaale ja kaaluvad individuaalseid sisenemisaegu eelnevalt määratletud investeerimishorisondi piires.
Hindade, volatiilsuse ja likviidsuse andmeid salvestatakse ja puhastatakse pidevalt.
Mudelid tuvastavad korduvad turumustrid ja klassifitseerivad praeguse turufaasi.
Olemasolev kapital jagatakse osadeks ja pakutakse aja jooksul.
Lõpliku otsuse tegemiseks saate konkreetse ja põhjendatud soovituse tegutsemiseks.
Reaalajas andmete analüüs põhineb libisevatel ajaakendel, mille jooksul volatiilsus ja trendi suund on omavahel tasakaalus. Individuaalsete hinnaprognooside asemel hindab süsteem sisenemispunkti suhtelist atraktiivsust võrreldes eelmiste kauplemispäevadega. Selline lähenemine vähendab sõltuvust ühest potentsiaalselt ebasoodsast ajahetkest ja on automatiseeritud tranšee aluseks.
Jaotades selle mitme osa vahel, väheneb sõltuvus ühest turu ajahetkest. Sellest tulenevalt mõjutavad hinnakõikumised üldtulemust vaiksemalt.
The analysis logic works regardless of the amount of capital used and can be applied to multiple accounts or capital pools in parallel without the effort increasing proportionally.
Pärast esialgset seadistamist võtab süsteem üle pideva jälgimise. Saate soovitusi selle asemel, et ise hinnatrende jälgida – “seadi ja unusta” põhimõte koos regulaarse tagasisidega.
Hindade, intresside ja volatiilsuse andmed voolavad süsteemi pidevalt.
Ennustavad mudelid hindavad praegust turufaasi ja võimalikke sisenemisaknaid.
Luuakse struktureeritud tegevussoovitus koos põhjendusega.
Kontrollite soovitust ja teete lõpliku otsuse selle rakendamise kohta.
Süsteem annab aluse otsuste tegemiseks, mitte automatiseeritud tellimust. Igal juhul jääb lõplik autoriteet äriotsuseks – Klar Zinsmehrenz toetab seda usaldusväärsete ja jälgitavate andmetega.
Klar Zinsmehrenz was developed with the aim of making the same structured data analysis available to small and medium-sized companies that was previously reserved primarily for larger institutional investors.
The focus is not on predicting individual price movements, but rather on systematically reducing timing risk through staggered, data-based entries. Each recommendation is comprehensibly justified so that you can check the underlying logic at any time.
We see capital allocation as a continuous process, not a one-off decision - and we continue to develop our models accordingly.
All financial and account data transmitted is encrypted and used exclusively to analyze your individual liquidity situation. It will not be passed on to third parties for marketing purposes. Details on data processing can be found in our data protection declaration.
The connection takes place via standardized interfaces to common business accounts. Olemasolevad kontostruktuurid jäävad muutumatuks; Klar Zinsmehrenz only reads the key figures necessary for analysis and does not independently access payment functions.
In the event of significantly increased volatility or sudden market breaks, the model automatically reduces the weighting of new entry recommendations and explicitly informs you of the changed risk situation. A complete prediction of rare extreme events is fundamentally not possible; However, the system is designed to flag risks early rather than ignoring them.
Alati sina. Klar Zinsmehrenz provides a well-founded recommendation including the underlying database. The final approval and implementation is entirely in your hands.
In a non-binding initial consultation, we will clarify what your capital structure is and what a data-based entry strategy could actually look like.
Võtke meiega otse ühendust