Zanexa Rolu continuously analyzes large volumes of financial data to adjust your asset allocation. Withdrawals are executed instantly, with no lock-in period.
No blocking period. Total liquidity on all positions managed by the algorithm.
The system ingests market feeds, macroeconomic indicators and historical volatility to recalculate the optimal allocation at regular intervals. Each adjustment is based on defined and documented rules, not on discretionary decisions.
Withdrawal flexibility is integrated into the very structure of the product: positions remain liquid, which allows you to recover your capital without notice period or contractual penalty.
Each column represents an asset class; the height reflects the weight assigned by the model at the time of the last recalculation.
The process is broken down into distinct stages. Each produces a verifiable result before moving on to the next.
Market data, asset correlations and risk signals are collected and normalized in real time, before any allocation calculation.
The algorithm adjusts the capital distribution according to risk constraints defined in advance, seeking the best return-liquidity balance.
The performances are consolidated and made visible in your personal space. The capital remains available at any time for withdrawal.
Three technical pillars support the promise of total liquidity, described here without engineering vocabulary.
The models train on long historical series and recalibrate with each new market data. The objective is to anticipate trend variations rather than reacting after the fact.
Maximum exposure thresholds are set by asset class. When a threshold is reached, the system automatically reduces the position concerned, without manual intervention.
Positions are structured to remain transferable at any time. A withdrawal order triggers the release of funds without a contractual lock-in period.
Zanexa Rolu documents each decision rule used by its models and publishes the risk parameters applied to each typical portfolio. Nothing is left to the subjective appreciation of an operator.
Access to the platform does not require any programming skills. The interface presents essential data: current allocation, recent performance, and funds availability status.
Rather than testimonials, Zanexa Rolu details the standards followed and the limits of the system.
The model code is subject to regular internal reviews, with logging of each risk parameter modification.
Allocation decisions follow fixed rules, published in the product documentation. No discretionary manual adjustment occurs on active positions.
Withdrawal requests are processed without notice. The amount available corresponds to the net asset value noted at the time of the request.
The following points come up most often when getting started with the platform.
The investment involves a risk of capital loss. Past performance is no guarantee of future results.