Minimize risks with the artificial intelligence-supported analysis platform and start optimizing your strategic investment decisions in 60 seconds.
Varlaşım combines different data sources into a single decision layer and translates the results directly into usable recommendations.
Models trained on past price movements and market cycles present possible scenarios with probability ranges; It gives measurable risk ranges rather than precise predictions.
Market data and news feeds are constantly scanned, analysis results are updated within minutes; The risk of making decisions with old data is eliminated.
Portfolio allocation is automatically evaluated based on volatility and correlation metrics; A warning is generated for overly concentrated positions.
It does not require technical integration or manual data transfer. The installation, completed in three steps, starts the analysis process in the same session.
Define your stock market account or the asset list you want to monitor into the system; Transaction authorization is not requested.
The platform processes the linked data with predictive models and automatically calculates risk scores.
Review the recommended actions and implement them in your portfolio at your own discretion; The final decision always remains with you.
The panel highlights prioritized metrics rather than showing raw data directly. Each metric is presented with the context needed at the time of decision-making.
For cautious investors, knowing how the algorithm works is more important than trusting its results.
Varlaşım evaluates historical price patterns and real-time market sentiment data together when producing predictions. Model outputs are presented with a summary showing which data contributes to the result with what weight; The result is not reduced to a single number and hidden.
This approach makes the logic on which the decision is based traceable. The user can review from the analysis history which data and over which time period the proposed action was derived.
Account and transaction data are transmitted via encrypted channels; Access is used only for monitoring purposes without requesting transaction authorization.
Each recommendation is recorded, along with the data points and model parameters on which it is based, and can be reviewed retrospectively.
The model automatically updates the risk score during periods of high volatility and moves position recommendations to more conservative ranges. In case of sudden price movements, analysis frequency is increased to ensure up-to-dateness is maintained.
Stock price data, trading volume, historical volatility records and public market news feeds are used as basic input. The resources used are listed separately in the analysis report.
The steps to link an account and start an initial analysis take less than a minute on average for accounts that do not require additional verification. Additional security steps such as two-factor authentication may extend this period.
Link your account and view your first risk and forecast report in the same session.
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