Ingresca IA brings together information from multiple exchanges into a single dashboard and analyzes it using artificial intelligence models that explain, in clear terms, the reasoning behind each recommendation.
Representative view of the panel: positions grouped by exchange, risk indicators and market signals gathered in a single query screen.
Those who begin to invest usually discover that the difficulty is not only in choosing an asset, but in managing the information that comes from different sources, each with its own format and pace.
Instead of switching between tabs and applications, Ingresca IA centralizes information from your connected accounts and presents it in a consistent format, ready for analysis.
Simplified representation of the exposure distribution by asset category, as aggregated in the dashboard, regardless of the source exchange.
The process is broken down into verifiable steps, so that each recommendation can be traced back to the data that originated it.
The system consults prices, volume and historical volatility of the assets connected to its panel.
The models identify recurring patterns and correlations between the different markets represented.
Possible trajectories are calculated along with their associated probability; These are not guarantees of results.
Each suggestion is accompanied by the specific factors that justify it, written in non-technical language.
The system prioritizes signs of excessive concentration or high correlation between assets, and communicates them before they become a problem for the portfolio.
No recommendation is presented without its justification. You can review the data and assumptions underlying each suggestion before acting.
A person who opens their first account on an exchange usually faces an amount of information that they do not know how to prioritize. The panel groups your initial positions, indicates the risk level of each one, and offers brief explanations of terms that appear frequently, without assuming prior knowledge.
When positions are spread across different platforms, it is difficult to know if there is overexposure to the same sector. Ingresca IA consolidates this information and indicates when the portfolio is overly dependent on a single type of asset, allowing the distribution to be adjusted more judiciously.
The system tracks metrics such as sector exposure, correlation between assets, and risk level variation over time. These metrics describe the behavior of the portfolio; They do not constitute a profitability projection.
There's no need. The dashboard is designed to explain concepts as they appear, so you can understand each indicator before making a decision.
No. The system analyzes data and presents explained recommendations; The final decision to trade always rests with you.
Accounts are linked in read-only mode, allowing you to view information without granting the ability to move funds.
No. The models work with probabilities based on historical data and market patterns, not certainties. Financial markets carry risk of loss at all times.
Yes. Each recommendation includes the data factors that originated it, so you can evaluate it with your own criteria before deciding.
The technical terms that appear on the panel include a brief contextual explanation, designed to accompany learning without having to leave the analysis screen.
Connect your accounts in consultation mode and review how your information is organized before deciding on any changes to your portfolio.
Start your analysisInvestments in financial assets involve risk, including the possible loss of part or all of the invested capital. The information and recommendations generated by Ingresca IA are indicative in nature and do not constitute personalized financial advice or a guarantee of profitability. Evaluate your particular situation before making investment decisions.