Kurumsal Tebrikler analyzes the artificial intelligence strategies with the highest past performance and automatically applies these strategies to your account. You determine your risk profile, and the algorithm carries out the application and monitoring processes.
The panel below summarizes the updated risk score and position distribution based on the strategy group you selected; You always remain in control of your capital.
Unused working capital loses value over time due to inflation and loss of alternative returns. This loss usually does not appear on the balance sheet, but can be measured analytically.
Investment decisions that require manual tracking demand the time and attention of the business owner. When market conditions change rapidly, decisions made without regular monitoring can increase risk.
Kurumsal Tebrikler applies strategies with a high performance history to your account with a copy-trading logic. Thus, automatic position management is provided within the risk limits you define, without making manual transactions.
The operating logic of the system consists of three layers: processing historical data, measuring the risk and implementing the decision. Each layer is based on a traceable logic.
The algorithm scans historical trading data across multiple strategy accounts and identifies patterns that show consistent performance. This process is based not on a single periodic success, but on repeated behavior patterns.
Each strategy has a risk score based on metrics such as volatility, historical loss range, and position diversification. The risk level you choose directly determines which strategies are included in your pool.
When a position is opened in the source strategy, the system reflects it to your account at predefined rates and within a delay period. The rules of application are fixed; There is no emotional or instant decision interference.
Kurumsal Tebrikler is an artificial intelligence platform that aims to make the cash management processes of businesses and individual investors data-driven. Our focus is not on simplifying the decision-making process, but on making that process measurable and traceable.
The platform does not expect constant market monitoring from the user; Instead, it offers a division of labor that leaves the choice of strategy to the user and the implementation to the algorithm.
Each group of strategies is based on a different risk-return logic. Card content explains decision logic rather than numerical promises.
It replicates a pool of low-volatility originating accounts that prioritize capital preservation.
It replicates resource strategies with mixed maturity structures that aim for balance between growth and protection.
It follows origin accounts that prioritize return potential by accepting higher volatility.
The process is designed to not interfere with your existing workflow. You do not need to make daily transactions after joining.
You connect your account to the platform, leaving you in control of your capital. This step does not change your existing banking relationship.
You determine the strategy group that suits your risk tolerance. The selection can be updated at any time.
You passively track performance and risk indicators while the application is automatically maintained.
Automated practice does not mean giving up control. The following principles define the operating framework of the platform.
Account connections and data transmission are protected by encryption methods commonly used in the financial industry. Access rights are limited in layers.
Your transaction data is used solely for strategy execution and risk calculation purposes; It is not shared with third parties for marketing purposes.
The current risk score and position distribution of the applied strategies are regularly updated in your account panel; You can access this information at any time.