Analytics and predictive intelligence platform
Riberabitencia brings together data from multiple exchanges and market sources in a single dashboard, and applies predictive models to support portfolio optimization with continuous predictive analysis, designed for professionals managing multiple investment streams at once.
The problem
Anyone who manages multiple investment streams often ends up with open tabs on different exchanges, outdated spreadsheets, and late-arriving alerts. Fragmentation isn't just uncomfortable: it has a real cost in lost opportunities.
How it works
The Riberabitencia engine processes large volumes of market data and cross-references it with the history of each portfolio. From there, it generates recommendations tailored to the risk profile of each user, instead of generic signals applicable to any account.
Data aggregation connects accounts from different exchanges into a single interface. There is no need to replicate the analysis on each platform separately: the joint position is calculated and displayed consistently in a single place.
Each recommendation is accompanied by the factors that explain it: exposure, correlation between assets and recent volatility. The goal is for the user to understand the why before deciding, not just the what.
Methodology
Riberabitencia connects with authorized market accounts and sources and synchronizes positions, orders and histories in near real time, respecting the limits of each API.
Predictive models process this information along with market context variables, identifying correlation patterns and relevant exposure levels for each portfolio.
The system translates the analysis into concrete and prioritized recommendations, with their visible justification, so that the final decision remains the user's, with clear criteria on the table.
Success scenarios
A professional with positions on three exchanges reviews a single consolidated view of his total exposure every morning before deciding whether to rebalance any positions.
In the event of high volatility in a specific asset, the system indicates the level of correlation with the rest of the portfolio, facilitating proportionate and non-reactive coverage.
During active market hours, consolidated alerts allow relevant movements to be detected without the need to monitor each platform separately.
About the approach
Riberabitencia is built on verifiable data analysis models: market information aggregation, statistical processing and explicit risk management rules. These are not infallible predictions, but rather scalable decision support that reduces noise and organizes the available information.
The platform is designed for professionals who already invest their time in analyzing the market and seek to do so with a tool that adds precision, not just speed.
Consolidate your exchanges, review the predictive analysis of your portfolio and decide with a unified view of risk. Initial setup takes a few minutes.