The راز أموال platform aggregates your portfolio data from multiple platforms into one dashboard, and uses predictive analysis models to support decision-making and reduce risk exposure, without promising guaranteed results.
Institutional and individual investors usually deal with more than one trading platform at the same time. راز أموال unifies this data into a single analysis layer optimized for decision making, instead of relying on multiple tabulations and manual follow-up.
Operational and market data is pulled from linked platforms on an ongoing basis, with timing and format differences between each source addressed before displaying in the unified dashboard.
When you update a position in any linked platform, the overall portfolio picture is reflected in the panel without the need to manually match numbers between accounts.
Indicators and alerts are arranged according to their potential impact on the portfolio, so that the user starts from the prioritized signals rather than browsing separate panels.
راز أموال is designed for users who need to quickly understand the impact of data on a portfolio, without relying on manual analysis scattered across multiple interfaces. The system is based on quantitative analysis models that are reviewed periodically.
The platform does not provide automatic implementation recommendations; Rather, it provides the user with structured information that supports his final decision, while keeping the responsibility for implementation in the hands of the user or his team.
This sequence shows how raw data is transformed into usable indicators, with risk management and data security checkpoints at each stage.
Exchange accounts are linked via limited access keys, without enabling withdrawal of funds from within راز أموال.
Differences between different platform formats are addressed to ensure a uniform and accurate reading of positions and movements.
Quantitative analysis models are applied to estimate potential scenarios based on historical and real-time data, with periodic updating.
The results are presented as prioritized indicators within the dashboard, leaving the final decision to the user or portfolio management team.
The panel includes concentration and exposure indicators that help monitor the high level of risk in a particular portfolio or platform before it escalates.
Binding data is stored encrypted, and access to platform keys is restricted to read-only permissions when this option is available from the platform provider.
The main benefit is not in the number of indicators offered, but in the time and clarity you gain when reviewing a portfolio spread across more than one platform.
Aggregating data in one place reduces the need to switch between multiple platforms to build a comprehensive picture of the portfolio.
A unified view of concentration and exposure levels across platforms helps make balanced decisions rather than relying on a partial impression.
Asset allocations and correlations appear in an organized manner, supporting more disciplined periodic reviews.
In short, راز أموال was built to reduce the burden of manual data collection and add an analysis layer that helps prioritize, not to replace the discretion of the user or their investment team.
Review priorities vary depending on the strategy. Below are two illustrative examples of how the same plate can be used for different purposes, without any guarantees of specific results.
A user maintains positions distributed across several platforms and reviews his portfolio periodically instead of daily intervention. The panel here focuses on the stability of the distribution over time.
A user who needs to frequently review his positions during periods of high market volatility. The panel here focuses on the speed of detecting significant changes.
Access to راز أموال is through a pre-order that the support teams review before activating the account, within a specific usage policy.
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