Automate your investment strategy with AI-powered risk management. Optimized performance in real time, no matter what time zone you are in.
Global volatility does not wait for its flight to end. Nexo Progreso eliminates emotional bias and operational fatigue through analysis models that monitor your assets 24 hours a day.
The system does not replace your judgment: it executes the parameters you define, even when your attention is elsewhere.
Each module operates independently and communicates with the rest of the system to maintain consistency in decisions.
Processing massive volumes of market information in milliseconds, combining structured and unstructured sources.
Preventive adjustments based on predictive models that anticipate trend changes before they impact capital.
Optimization of entry and exit points without manual intervention, within the limits you previously configure.
Total transparency on each decision executed by AI, with complete traceability for internal or tax audit.
Four sequential phases ensure the AI engine operates within its own risk criteria from day one.
Integration of data sources and assets.
Configuration of custom risk parameters.
Activation of the Nexo AI engine.
Continuous optimization and intelligent rebalancing.
Risk settings adapt to the user's profile, not the other way around.
Technology companies with their own treasury use the system to distribute capital between different asset classes without devoting hours of internal management. Risk parameters are set at the corporate level and applied consistently across all positions.
Investors residing outside their home country face additional foreign exchange and regulatory exposure. The risk engine prioritizes capital stability over return maximization when configured by the user.
For portfolios with greater tolerance for volatility, the system dynamically adjusts the position size according to the liquidity available at any given time, avoiding decisions based on short-term impulses.
Nexo Progreso combines predictive analysis models with an execution layer that responds in milliseconds. The goal is not to generate more signals, but to reduce the number of decisions that depend on the investor's mood or time zone.
Each risk parameter is documented and can be modified at any time. The autonomy of the system has limits defined by you, not by the algorithm.
Join the exclusive waitlist for investors and technology companies looking for automated risk management without depending on their location.