Nítido Quotanaje: market analysis panel with predictive investment models
Data intelligence platform for investors

Predictive models that optimize your portfolio while you are in another time zone.

Nítido Cuotanaje analyzes markets in real time and executes copy-trading of strategies with verifiable history, so that the management of your capital does not depend on you being in front of the screen at the same time as the market you follow.

Designed for remote professionals who operate from different countries and need systematic, non-discretionary criteria.

Preview · Portfolio status
Automatic rebalancing Active
Configured risk level Moderate
Strategies in follow-up 3 active
Last sync Real time
About the platform

A decision system, not just another signal

Nítido Quotanaje combines market data processing with a risk allocation engine. The objective is not to predict specific movements, but to sustain a consistent decision process when the user cannot be monitoring each variable.

The panel centralizes information that is normally dispersed among different sources: quotes, volatility, correlation between assets and historical performance of each strategy available to copy.

Nítido Cuotanaje: data analysis panel and monitoring of investment strategies
The context

Information overload is not a minor problem for those who travel

Reviewing markets from different time zones, with intermittent connection and without a fixed time to analyze, usually results in decisions made in a hurry or directly postponed.

A digital nomad who manages his own capital faces an additional variable compared to a sedentary investor: the availability to act when the market requires it is not constant. The manual alternative involves reviewing news, graphs and reports in a fragmented way, often outside the hours when that data is relevant. An automated system does not eliminate that complexity, but it transfers it to a process that runs continuously, with criteria defined in advance.

Comparison between manual management and automated execution
Criterion Manual management Execution with AI (Clear Quota)
Review Frequency Depends on user availability Continuous, without manual intervention
Time availability Limited by time zone and connection No time zone restriction
Decision criterion Subject to mood and bias Defined by fixed risk parameters
Operation log Manual, scattered Centralized on the panel
Technology

How recommendations are built

The engine combines different models according to the market regime detected, instead of applying a single fixed formula to any condition.

Multivariate analysis

Processes series of prices, volume, correlation between assets and structured macroeconomic events to identify conditions before enabling a transaction.

Input: real-time market data

Combined Machine Learning

It uses supervised and unsupervised models to classify the current market regime: trend, range or high volatility, and adjust the strategy accordingly.

Periodic retraining on new data

Volatility mitigation

The size of each position is dynamically adjusted based on the asset's recent volatility, rather than maintaining a fixed allocation.

Objective: limit the impact of abrupt movements

Continuous validation

Each strategy available for copy-trading undergoes backtesting and walk-forward validation before being enabled for replication.

Review: prior to each strategy publication

Each strategy exposes its historical maximum drawdown, its annualized volatility and the evaluated period, calculated on execution data from the associated broker. These indicators describe past behavior and do not constitute a projection of future results.

Usage flow

Configure once, delegate execution

The process is intended to be completed only once per strategy. From there, the system operates continuously, even when the user is offline.

Connect your account

You link your supported broker account using a run-only connection, without giving up full access credentials.

I defined your profile

You establish the level of risk, the capital to be allocated and the exposure limits per asset and per strategy.

I chose strategies

You select which strategies to replicate based on their performance history, volatility, and evaluated time horizon.

The system executes

Operations are automatically replicated in your account and are recorded in the panel for later review.

What do you find in the panel

The panel is organized into independent modules, intended to be reviewed in short sessions between trips:

  • Portfolio summary: open positions, total exposure and consolidated risk.
  • Operation history: chronological record with the origin strategy of each execution.
  • Risk Alerts: Notifications when a position approaches a configured limit.
  • Performance by strategy: historical metrics for each replicated strategy.
Risk management

How to control downside risk

The priority of the system is to contain losses within parameters defined by the user, rather than maximizing returns in the short term.

Dynamic stop-loss It is recalculated according to recent volatility of the asset
Exposure limit per asset Configurable by the user at the time of registration
Exposure limit per strategy Avoid concentration on a single signal source
Correlation between active strategies Monitored to avoid duplication of risk

Backtesting and validation

Each strategy is evaluated on historical data that was not used in its development, through walk-forward validation. This reduces, but does not eliminate, the risk of overfitting to a specific period.

Risk-adjusted returns

The performance of each strategy is reported together with its volatility and maximum drawdown, not in isolation. A higher return with disproportionate volatility is not presented as preferable by default.

Frequently asked questions

Technical and operational doubts from Argentina

These are the most common queries from users who operate while traveling or residing outside their home city.

What happens if I go offline for several hours?

The system does not depend on the user being connected. Strategies are executed on the server side and in the linked broker's account. The panel reflects the updated status the next time it is logged in.

How are time zone differences handled with the markets I follow?

The strategies operate according to the relevant market time, not according to the user's time zone. The dashboard displays run times converted to your configured time zone.

How does copy-trading work technically?

The user's account is linked to the broker through an order execution-only API. When a strategy generates a validated signal, it is replicated proportionally to the capital assigned by the user to that strategy.

Does Nítido Cuotanaje have custody of my funds?

No. The capital remains in the account of the broker chosen by the user. The platform operates with execution permissions, without access to withdrawal of funds.

Do compatible brokers operate from Argentina without restrictions?

Compatibility depends on each broker and the regulations in force in the country where the account is registered. We recommend verifying this condition with the broker before linking the account.

Start trading smarter today

Initial setup takes less time than a manual portfolio review. From there, the process is delegated to the system, with the risk limits that you define.