Neoenergia — real-time financial data analysis dashboard
Data Intelligence Platform

Data Intelligence for Strategic Decisions

Neoenergia processes more than 500 market pairs in real time, applying predictive models that help professionals diversify income with clear risk parameters, rather than isolated intuition.

Coverage and Speed

Real-Time Analysis of 500+ Pairs

The system simultaneously monitors hundreds of asset pairs, updating statistical models with each new batch of market data. The objective is not to predict with absolute certainty, but to reduce the margin of error in decision making.

01

Statistical accuracy

Models continuously recalibrated based on historical series and flow data, reducing the lag between signal and execution.

02

Portfolio Optimization

Recommendations consider correlation between assets, avoiding concentration of risk in positions that move together.

03

Wide coverage

More than 500 pairs monitored, between established and emerging markets, with updates in cycles of seconds.

500+ Pairs monitored simultaneously
24/7 Collection and continuous processing
3 Signal Validation Layers
100% Final decision remains with the user
How It Works

A three-step logic, no black box

Neoenergia does not replace the investor's judgment. The platform organizes data, processes patterns, and presents recommendations — the final decision remains with you, with enough context to inform it.

Massive data collection

Market sources, trading volume and macroeconomic indicators are consolidated into a single, continuously updated basis.

Processing by neural networks

Trained models identify recurring patterns and anomalies by weighing similar historical scenarios before generating a signal.

Personalized recommendation

The result is adjusted to the declared risk profile and the informed allocation horizon, without generic market recommendations.

Update frequency
Recalibration of models in short cycles, monitoring variations in volume and volatility throughout the day.
Data scope
Historical price series, technical indicators and liquidity data for more than 500 pairs monitored by the platform.
User role
Every recommendation is presented with the associated statistical rationale, so that the final decision is informed, not automatic.
Model limits
No model eliminates market risk. The platform reduces uncertainty, not removes it completely.
Risk Management

Financial security as a starting point

For those who are diversifying capital for the first time outside of traditional investments, the priority is to understand the exposure before seeking returns. The platform was designed with this order of priorities.

Risk mitigation

Concentration and correlation alerts help identify when a portfolio is more exposed than initially planned.

Algorithmic backtesting

Strategies can be tested against historical data before any real allocation, with performance and drawdown metrics.

Smart diversification

Suggestions consider assets with low correlation between each other, distributing exposure instead of concentrating on a few positions.

Account data and analysis history are treated with segmented access controls and encryption in transit, following usual financial sector practices for protecting sensitive information.

About the Platform

Built for those who already make careful financial decisions

Neoenergia was created to serve professionals looking for a second source of structured income, with methodology and traceability, and not just specific market indications.

The team combines data engineering and statistical modeling to keep analysis up to date as market conditions change, avoiding static recommendations based on outdated scenarios.

Neoenergia — team analyzing market indicators in a corporate environment
Application Scenarios

How analytics behave in different contexts

Instead of testimonials, we present typical situations in which the model is used, so that you can evaluate adherence to your own strategy.

Emerging Markets

Identification of trends in less liquid assets

The model considers reduced volume and greater volatility, adjusting the confidence interval of recommendations before suggesting any position.

Established Assets

Optimization of positions in highly liquid pairs

In more mature markets, the analysis focuses on microtrends and correlation with other assets in the portfolio, prioritizing consistency over sudden movements.

Income Diversification

Gradual allocation for those starting outside of traditional income

Recommendations consider an increasing exposure horizon, suitable for those who are testing a new source of income without abandoning existing allocations.

Rebalancing

Periodic adjustment according to changes in correlation between assets

When the correlation between positions changes significantly, the platform signals the need to review the current allocation.

Frequently Asked Questions

Technical questions that professionals often raise

We have gathered here the most recurring points about privacy, latency and the models used by Neoenergia.

How is account data processed?

Registration information and usage history are segmented by access controls, with encryption in transit. We do not share individual data with third parties for commercial purposes.

What is the latency between market data and recommendation?

The processing cycle operates in short windows, but the exact latency varies depending on the analyzed pair and the availability of the source data source.

What AI models underpin the analysis?

We use neural networks trained on historical price and volume series, combined with traditional statistical methods to validate each signal before it is displayed.

Does the platform guarantee financial returns?

No. Analysis reduces uncertainty and organizes information, but every investment involves market risk that no model completely eliminates.

Is advanced knowledge necessary to use the platform?

We recommend basic familiarity with risk and allocation concepts. The recommendations are accompanied by statistical rationale, to support professionals at different stages of experience.

Ready to raise your analysis level

Request access to the platform and evaluate, with your own risk parameters, how real-time analysis of 500+ pairs can support your diversification strategy.

Request Access to the Platform

Investments in financial assets involve risk, including the possibility of capital loss. Neoenergia analyzes are decision support tools and do not constitute an investment recommendation or guarantee of results.