theppcstore analyzes your financial data with models trained on historical markets. The platform identifies risk and opportunity without you having to review positions daily.
The system does not improvise decisions. Analyze decades of market behavior before suggesting any move. Filters the scenarios that historically generated relevant losses and optimizes the combination of assets according to your investment horizon.
Most of our users combine work, family and other obligations. That is why the system is designed to operate without constant supervision.
Does not require daily management. AI monitors the market and acts within the limits you define.
Algorithmic risk management that adjusts exposure before losses accumulate.
Long-term vision, without impulsive decisions based on the daily noise of the market.
The onboarding process is designed to be completed in a single session, with no additional paperwork.
Connect your financial accounts securely, without manual transfers.
The system crosses its data with historical models to detect favorable scenarios.
Every suggestion comes backed by backtesting and clear risk limits.
No strategy can eliminate market risk. What a system trained with historical data can do is measure it, limit it and adjust the exposure before an adverse movement affects the entire asset.
Every recommendation you receive is backed by years of market behavior, not a one-time intuition. The objective is not to promise guaranteed profitability, but to make decisions with verified information.
Comparison of risk exposure
Simplified distribution of scenarios analyzed by the model before issuing a recommendation.
Direct answers to the most common questions about the operation of the system.
It applies exposure limits calculated from historical data and reduces positions when the risk exceeds the threshold set for your profile.
The initial review takes a few minutes. The system then operates within defined parameters without the need for daily monitoring.
Yes. The recommendations are presented with clear explanations, without the need for prior technical knowledge in financial markets.