Bovecrecaje analyzes large volumes of market data using predictive models and presents you with already evaluated strategies, so you decide which one to follow without the need for technical knowledge.
Every day volumes of market information are generated that exceed the analysis capacity of a person without technical training. Traditional trading platforms require time, knowledge of indicators and constant attention that most people cannot afford while maintaining their usual activity.
The result is usually one of two extremes: avoiding digital asset management altogether, or delegating it to tools that don't explain how they reach their conclusions. Bovecrecaje proposes a middle ground: the model takes care of the analysis, you retain the final decision on which strategy to follow.
The models process market data permanently, without pauses or fatigue.
The interface translates analysis into clear recommendations, without complex financial language.
You choose the strategy profile to follow and can modify it at any time.
Bovecrecaje was born from the idea that predictive data analysis should not be reserved for managers with large technical teams. We transfer that same analysis logic to an interface that anyone can understand and use.
We offer no performance promises or shortcuts. We offer visibility into how each strategy is built, what data is considered, and what level of risk it entails, so that the decision to follow it or not is truly informed.
The strategy copy system allows you to replicate, in proportion to your capital, the decisions of already evaluated models, without you having to interpret charts or execute operations manually.
Choose between strategy profiles depending on the level of risk you are willing to take.
The system processes market data in real time and generates adjustment recommendations.
Each recommendation is visible before being applied, along with its justification.
If you keep the strategy active, the adjustments are applied proportionally to your account.
A summary with the active strategy, the current exposure level, the history of adjustments applied and a risk indicator. No promises of profitability are shown, but rather the documented behavior of each model.
Each profile establishes in advance the maximum percentage of exposed capital and the exit criteria in the event of adverse movements. You can adjust these limits to your tolerance, without needing to constantly monitor the market.
The models incorporate market data as it is produced, allowing positions to be adjusted without waiting for periodic reports.
Once a strategy is selected, the system maintains tracking. You can review the panel as frequently as you prefer, without affecting the operation of the model.
The available strategies are grouped into three indicative profiles. Neither guarantees a certain result; Each one defines a different approach regarding the relationship between risk and time horizon.
Prioritize capital preservation over rapid growth. Strategies with this profile limit exposure to higher volatility assets and apply stricter exit criteria in the event of declines. It is usually suitable for someone looking to familiarize themselves with the system before increasing their exposure.
It combines assets of different nature and adjusts the proportion between them according to the market conditions detected by the model. It seeks a balance between stability and growth opportunity, without concentrating capital in a single asset category.
Accept greater short-term fluctuations in exchange for a more ambitious growth horizon. It is aimed at those who can keep the capital invested for longer periods without needing immediate liquidity.
No. The system is designed so that data analysis and technical execution are carried out by the model. Your participation is limited to choosing a strategy profile and reviewing the dashboard as often as you prefer.
Access to your account requires individual authentication and communications with the platform are carried out in encrypted form. We do not share account information with third parties unrelated to the operation of the platform.
Yes. You can stop tracking a strategy at any time from your dashboard. Capital availability times depend on the conditions of the specific digital asset in which it is positioned at that time.
Each strategy has predefined risk management criteria, including exposure limits and exit rules. These criteria are applied automatically within the margins that you authorized when activating the strategy.