Cazorvila transforms massive volumes of data into optimized strategies using advanced AI models, reducing systemic risk in crypto portfolios and digital assets.
Explore Investment Models
In volatile markets, information overload is the biggest risk. Cazorvila filters noise through real-time analysis, identifying patterns imperceptible to the human eye.
Each decision proposed by the system goes through three different phases, designed so that the technical criteria are traceable at all times.
Ingestion of on-chain data and market sentiment, consolidated in a single reference base.
Application of neural networks to project risk and reward scenarios under different market hypotheses.
Automatic adjustment of positions based on risk parameters predefined by the investor.
Our strategies have been subjected to rigorous stress tests that simulate the most extreme market conditions of the last five years, including abrupt declines and periods of low liquidity.
Backtesting does not guarantee future results; It is a statistical validation tool on past data, interpreted together with the risk limits that you define.
Designed for institutional and capital management profiles that require traceability, control and consistent reporting.
Constant monitoring of capital exposure, with alerts when defined thresholds are exceeded.
Detailed technical reports, adapted to executive decision making and internal audit requirements.
Robust infrastructure, designed to support large volumes of transactions without degrading response time.
Direct answers for those who prefer to understand how it works before committing capital.
The system activates risk mitigation and automatic rebalancing protocols when standard deviations outside the historical ranges observed in backtesting are detected.
Cazorvila acts as a decision assistant: you define risk limits and the system optimizes positions within that framework, without executing trades outside the agreed parameters.
Join the new era of data-driven investing, with risk criteria defined by you.