ZuderFin processes market data in real time and derives concrete recommendations for action from it. The platform is designed for freelancers who want to let capital work in a structured manner between jobs without sacrificing short-term access.
Freelancers often manage liquidity reactively: income fluctuates depending on projects, while market movements do not follow billing cycles. If capital lies unused in an account or is only responded to after manual checking, structural disadvantages arise.
The platform trains statistical models on historical price trends and continuously compares them with incoming market data. This creates an assessment of the probability of short to medium-term developments, not a guarantee. Decisions remain understandable because each recommendation is documented with the underlying factors.
Risk indicators are continuously calculated and compared with individually defined threshold values. If a value exceeds the defined limit, the system automatically reduces the affected position or suggests a reallocation. This logic follows clear if-then rules that can be viewed before activation.
Unlike periodic reports, analysis is event-based: new data triggers a reassessment, not a fixed schedule. This means that recommendations remain current even if market conditions change several times within a day.
Market, price and liquidity data from multiple sources are normalized and converted into a consistent format before being further processed.
time-series / tick-levelStatistical models identify correlations and anomalies within the data stream and weight them according to relevance to the respective portfolio.
statistische MustererkennungThe system translates the analysis into a concrete, well-founded recommendation including a risk assessment, which the user checks and finally confirms.
Empfehlung + Begründung
ZuderFin is designed to bridge the gap between available market data and the time freelancers and independent investors can devote to analyzing it. The platform does not replace individual financial advice, but rather provides a comprehensible, data-based basis for your own decisions.
The focus is on the traceability of every recommendation: users see which factors led to a result and retain control over every transaction. Access to invested capital is available at any time, without a contractually agreed commitment period.
Existing positions are continually checked for weighting and correlation. If the distribution deviates from the defined target values, the system suggests a rebalance.
Adaptable at any timeCapital between projects is not held statically, but is deployed according to predefined risk profiles. Payouts are possible without waiting if short-term needs arise.
No commitment periodIf volatility metrics exceed set limits, the system automatically reduces exposure to affected asset classes before manual intervention is required.
Rules basedAccess to the dashboard occurs after a short verification. Capital invested remains available at any time and there are no contractual commitment periods.
Data processing in accordance with applicable data protection law. No automated capital commitment without express consent.