Zlatovín uses precise algorithms and real-time data analysis to leave your investment decisions to a system that never sleeps. In the meantime, you will keep time for your family.
Classic investment strategies expect you to pay attention to them regularly: monitor the news, reassess the portfolio, react to market fluctuations. With a family with children and a full workload, it's usually the first thing for which there is no energy left.
The result is usually one of two things: the capital remains unused in the savings account, or decisions are made hastily without systematic analysis. Zlatovín was created in response to this particular type of overload.
Zlatovín combines machine models with zero trade fees, so the revenue generated by the system remains entirely with you.
The algorithm processes market data, macroeconomic indicators and historical patterns continuously, not just when you decide to check the portfolio.
Unlike traditional managers, we do not take fees from individual trades or portfolio management. A transparent ecosystem means that you can see the costs in advance and they are minimal.
The system adjusts the allocation based on the set risk profile of the family, without you having to evaluate every market signal yourself.
The entire process is designed so that it does not require your additional attention after the initial setup.
You will answer several questions about your investment horizon and risk tolerance, which will be reflected in the algorithm settings.
The system distributes the funds across the selected instruments according to the strategy corresponding to your profile.
The algorithm further adjusts the portfolio based on new data, while you only receive clear summaries.
Technical validation: models are regularly back-tested against historical data and their decision logic undergoes internal revision before being deployed in a production environment.
Capital allocation is constrained by rules that prevent concentration in a single asset or sector. The system regularly reassesses the exposure to volatility and automatically rebalances the portfolio in the event of a deviation from the profile.
Every decision of the algorithm is recorded and available for review. It is not a black box without explanation, but a system whose logic can be supported by data.
The costs of operating Zlatovín are covered in a different way than charging fees from individual trades or from valuation. Thanks to this, you keep the entire generated revenue without reducing the quality of the analysis or the safety of the operation.
The models are designed to work with defined risk management rules and are regularly back-tested on historical data. No model is guaranteed to be flawless, but decision-making is systematic and demonstrable, unlike intuitive interventions.
No. After defining the risk profile, the system allocates and continuously adjusts the portfolio automatically. You get clear summaries, but routine decision-making remains with the algorithm.
Client funds are kept separate from the working capital of the platform, so a technical outage does not affect their existence or ownership.
If you require daily active trading with your own discretion over each order, the Zlatovín automated approach may not suit your needs. The platform is built for long-term, hands-off appreciation.
It takes a few minutes to create an account. The Zlatovín algorithm, which works continuously in your interest, takes over the setting of the risk profile and other steps.
Start building wealthNo hidden fees from stores. Cancellation of settings is possible at any time in the account.