Fogalix unified intelligence dashboard viewed by an investor reviewing multi-exchange data

AI-Assisted Decision Intelligence

Clarity in Complexity

Fogalix brings together data from your connected exchanges and turns it into a single, readable view. You do not need to interpret raw feeds or write a line of code — the analysis is done for you, and presented as clear, actionable intelligence.

Explore the Dashboard

Fragmented data is quietly costing you opportunities

Most passive investors hold positions across two or more exchanges, each with its own interface, its own terminology, and its own blind spots. Reviewing them separately means you are always working with an incomplete picture.

  • Price movements and risk signals arrive at different times across platforms, making it hard to see the full exposure at a glance.
  • Manual comparison between exchanges takes time most people do not have, and small delays can mean a missed adjustment window.
  • Without a consolidated view, it is difficult to know whether your overall portfolio is balanced or quietly concentrated in one direction.
Fogalix analyst reviewing fragmented exchange data before consolidation

One source of truth, drawn from every connected exchange

Instead of asking you to monitor several dashboards, Fogalix pulls the relevant data streams into a single interface. The underlying process involves statistical modelling and pattern recognition, but what you see is a plain-language summary of your position, its risks, and its available options.

Aggregation without the technical layer

Connections to your exchanges are handled in the background. There is no coding, no manual file exports, and no requirement for a background in data science or quantitative finance.

A single, consistent view

Balances, exposures, and trends are normalised into one format, so figures from different platforms can be compared directly rather than interpreted separately.

Built with data security in mind

Given the sensitivity of financial account data, connections are established through read-focused access where available, and information is handled with the discretion expected of a private banking relationship.

Three functions, working from the same unified data set

Each function draws on the same consolidated feed described above, so risk assessments, forecasts, and recommendations always reflect your complete position rather than a single exchange in isolation.

01

Risk Mitigation

The system continuously checks your combined exposure against your stated risk tolerance and flags concentrations before they become significant. The goal is capital protection, not maximised turnover.

02

Predictive Analytics

Historical and current data are used to model plausible near-term shifts across your holdings. These are presented as probability ranges, not guarantees, so you retain full context for any decision.

03

Smart Recommendations

Based on the risk and forecast outputs, Fogalix suggests specific, tailored next steps — for example, rebalancing a position or adjusting a parameter — rather than generic market commentary.

A transparent process, from raw data to a usable result

We deliberately keep the underlying logic explainable. Knowing why a recommendation was made matters as much as receiving it, particularly when the decision involves your own capital.

1

Ingestion

Account and market data are pulled in from each connected exchange at regular intervals, preserving the original detail before any processing takes place.

2

Analysis

The Fogalix engine filters out noise — duplicate signals, irrelevant fluctuations, and low-confidence data points — and applies its risk and forecasting models to what remains.

3

Optimisation

The output is distilled into a short set of observations and recommended actions, ranked by relevance, so you can review and decide within minutes rather than hours.

Two common starting points among our users

Retail Investor

Managing assets across three platforms without losing track

If you hold positions on three different exchanges and currently check each one separately, the unified dashboard replaces that routine with a single daily view. You see combined exposure, recent shifts, and any flagged concentrations in one place, without needing to reconcile figures by hand.

Strategic Planner

Automating risk parameters instead of reviewing them manually

If you prefer to set boundaries in advance — a maximum exposure per asset class, for instance — Fogalix monitors those thresholds continuously and surfaces a recommendation the moment a limit is approached, rather than waiting for a scheduled review.

Built for people who want data-driven decisions, not a data science project

Fogalix was developed around a straightforward observation: most passive investors already have the discipline to act on good information, but rarely have the time or technical background to assemble that information themselves. Our engine handles the aggregation and modelling; you retain the decision.

Fogalix team reviewing unified portfolio analytics on screen

Begin your transition to data-driven growth

Connecting your first exchange and reviewing your unified dashboard typically takes a few minutes. No technical setup, no data science background, and no obligation to change your existing strategy on day one.

Data handling designed with the security expectations of DACH-region investors in mind.