Ploßvenak – Real-time data analysis for data-based investment decisions

Intelligent capital increase without spending any time

Our system analyzes more than 500 trading pairs in real time and derives well-founded recommendations for action. This means you can still plan to build up your wealth, even if your everyday life is filled with family and work.

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Initial situation

Between family time and market complexity

Time is the scarcest resource

Those who raise children and are involved in work rarely have the capacity to observe markets on an hourly basis. At the same time, prices, correlations and risk profiles are constantly changing. This discrepancy between the available time and the required market observation is the real bottleneck for wealthy private investors.

Classic consulting often works with a delay: analyzes that are prepared on a daily basis only incompletely reflect market reality.

Ploßvenak working environment for data-based portfolio analysis

Ploßvenak takes over the data load

Ploßvenak continuously evaluates market data and translates it into structured recommendations. The data-intensive preparatory work – collecting, cleaning and evaluating market information – is carried out by the system, not the investor.

The result is a relief in everyday life: you receive condensed assessments instead of raw data and still retain control over every decision.

Methodology

Real-time data analysis meets predictive models

The technical basis of Ploßvenak is based on the continuous evaluation of more than 500 trading pairs. Instead of individual key figures, the system looks at patterns across time, volume and correlation and derives reliable assessments from them.

01

Data sourcing

Continuous collection of price, volume and order book data from over 500 trading pairs, bundled in a uniform database.

02

Pattern Recognition

Statistical models identify recurring market patterns and deviations that would be too extensive for manual analysis.

03

Risk Mitigation

Each recommendation is checked against defined risk parameters before it is presented to the investor for a decision.

04

Execution

Approved strategies are implemented in a structured manner, with comprehensible documentation of each step.

Process

A comprehensible path to portfolio optimization

01

Connectivity

Your existing portfolio will be securely connected. Existing positions and portfolio structures remain unchanged.

02

Risk profile definition

Together you determine the framework conditions: investment horizon, risk tolerance and individual exclusion criteria.

03

AI optimization

The system creates recommendations tailored to this. The final decision remains yours.

Ploßvenak sees itself as a supporting system, not as an automatic decision maker. Each recommendation is justified transparently so that you can understand what data and assumptions are used.

Security

Standards that meet the highest demands

The protection of your data and assets is an integral part of the system architecture, not an afterthought.

Bank-grade encryption

All connections and stored data are treated according to encryption standards common in the banking industry.

GDPR compliance

Data processing is carried out in accordance with the requirements of the General Data Protection Regulation, with clearly documented purpose limitations.

Access control

Multi-factor authentication and granular permissions limit access to sensitive portfolio data.

Next step

Secure your family's financial future

Access to Ploßvenak is currently available on a limited basis. Interested investors can submit a non-binding inquiry to receive details on conditions and integration.

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Find out more about our methodology