DevikaR0UTE combines predictive models with consolidated data from multiple platforms, so you can make decisions without relying on scattered spreadsheets or staring at multiple screens.
Dashboard view: positions, risk alerts and prioritized recommendations on a single screen, updated in real time.
When you work from different time zones and review multiple exchanges daily, manual analysis becomes the slowest part of the process, not the most valuable.
Consolidating prices, volumes and correlations by hand introduces errors and delays reaction to market changes. Decisions based on data, not instincts, require first having that data organized in one place.
DevikaR0UTE was born from the need to review portfolios and investments from anywhere, without sacrificing the rigor of the analysis. The team works in a distributed manner and applies the same criteria to the product: clear access, verifiable data and explanations without unnecessary technicalities.
Each predictive model we integrate is documented and viewable, so you understand what variables influence each recommendation before acting on it.
DevikaR0UTE translates large volumes of market data into information you can use without having to interpret technical charts for hours.
The models combine historical series with real-time data to estimate probable trends, with a visible margin of confidence in each recommendation.
Connect different exchanges and view consolidated positions, balances and movements, without changing screens or manually reconciling formats.
The system flags risk concentrations and atypical movements before they become portfolio-relevant losses.
Receive a notification when a metric exceeds a defined threshold, instead of manually reviewing each platform multiple times a day.
The process is the same for any connected exchange, allowing results to be compared consistently.
DevikaR0UTE collects prices, volumes and orders from each connected exchange, normalizing the formats so that they are comparable to each other.
Predictive models analyze historical patterns and correlations between assets, generating estimates with their associated level of uncertainty.
The dashboard sorts the signals according to their relevance to your portfolio, showing first what requires the most immediate attention.
A professional who manages his capital between trips can review the dashboard once a day and rely on alerts for the rest of the day, instead of constantly monitoring each market.
When assets are spread across different platforms, the unified panel makes it easy to detect imbalances and decide whether to rebalance, with comparable data between exchanges.
Credentials are stored encrypted and are used only to read market data and positions, without withdrawal permissions. You can revoke access for any connection from the dashboard at any time.
The system supports integrations with the platforms most used by individual and professional investors. The list of compatible exchanges is progressively expanded according to demand.
Each recommendation is accompanied by a confidence level estimated by the model. No predictive system eliminates market risk, so the signals are intended as decision support, not as an automatic instruction.