Dvegrontur analyzes market and portfolio data with military-grade end-to-end encryption and aligns processing with the regulatory requirements of European financial markets. This means that every recommendation remains traceable and your data is protected.
Anyone who wants to diversify their capital more widely today is faced with a growing number of market reports, price data and analyses. Between newsletters, research papers and price trends, the overview is often lost - especially when quick decisions are required.
Dvegrontur bundles these sources in a structured analysis environment. Instead of individual reports, you receive consolidated assessments that are based on comprehensible models - clarity through AI instead of data chaos.
The four building blocks on which the platform is built – described compactly, without further ado.
All data is transmitted and stored encrypted according to the AES-256 standard. Keys remain solely in your control.
Statistical models evaluate historical and current market data and derive probabilities for different market scenarios.
New data points are continually incorporated into the models so that assessments reflect the current state of the market, not yesterday.
The processing of personal and financial data is based on the requirements of the GDPR and relevant requirements for financial service providers in the EU.
A fixed process in which human judgment and algorithmic precision work together.
Market, price and economic data from numerous sources are collected and normalized.
Models evaluate the relevance and quality of the data and separate noise from reliable signals.
The system calculates possible portfolio structures based on your investment goals and risk parameters.
Strategies can be transferred to additional asset classes or larger capital volumes without losing depth of analysis.
Three scenarios in which the analysis makes a concrete contribution to the strategy.
For investors who want to diversify their capital across multiple asset classes, Dvegrontur shows correlations between positions and suggests weightings that fit the individual risk profile. The calculation takes existing positions as well as possible additions into account.
Recurring patterns in price trends and macroeconomic indicators are continuously evaluated. You receive structured assessments of market phases without having to check each source individually.
Scenario analyzes can be used to estimate how a portfolio might behave under different market conditions. This makes it possible to identify positions that contribute disproportionately to the overall risk in an emergency.
Technical precision is only one side. It is equally important that you understand and control what happens to your data at all times.
Data is encrypted during transmission and processed in isolated environments. Access rights can be assigned granularly so that only authorized people have access to certain portfolio segments.
The AI provides analyzes and suggestions - the decision-making authority over your data and your capital remains with you. Access rights can be viewed and individual data sources can be deactivated at any time.
An initial analysis shows how your current portfolio can be classified taking risk and diversification into account. Getting started is non-binding and has no upfront costs.