Moltiplanza: predictive analysis dashboard with growth curve and risk indicators

Investment decisions based on AI, not time.

Moltiplanza analyzes millions of data points in real time to deliver historically tested strategies. Build your assets with the precision of predictive models, without managing complexity.

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Time is your scarcest resource.

Analyzing the markets requires hours you would rather spend with your family. Our platform automates data analysis and risk assessment, turning large volumes of information into clear strategic recommendations.

Each recommendation arises from a repeatable process: data collection, statistical modeling, historical verification. No prediction is proposed without measurable empirical evidence.

Moltiplanza: data analysis interface with information flows organized into operational indications

Validated strategies, not intuitions.

Every feature of the platform is designed to replace manual evaluation with an auditable analytical process.

1

Backtested Strategies

Each suggestion is validated on ten-year time series to ensure consistency in the results before being applied to real capital.

2

Predictive Analytics 24/7

AI monitors global markets continuously, flagging relevant changes while you cover what really matters.

3

Risk Optimisation

Advanced algorithms recalibrate portfolio parameters during phases of volatility, with the aim of limiting potential losses.

An automated, three-step process.

The system requires minimal initial setup and operates without constant user supervision.

1

Data Integration

We connect global financial flows to our neural models, updating information at regular intervals throughout the day.

2

AI processing

The system identifies patterns and correlations that are difficult to observe manually, comparing them with similar historical scenarios.

3

Strategic Output

Get ready-to-action recommendations, optimized for medium- and long-term goals and your level of risk tolerance.

Where data analysis generates value.

Case 01

Estate Planning

Use of predictive models for generational capital growth, with simulations over ten or twenty year time horizons and periodic review of objectives.

Case 02

Smart Diversification

Reduction of correlation between assets through algorithmic analysis of historical data, identifying portfolio combinations less exposed to correlated market shocks.

Put artificial intelligence at the service of your future.

Join the professionals and parents who have chosen data accuracy over manual portfolio management.

Try Moltiplanza now