Decagon amplía: professional analyzing financial markets from a mobile device on the move

Smart decisions from anywhere

Decagon amplía combines artificial intelligence models with multi-exchange integration so you reduce the risk of late decisions, regardless of the time zone you trade from.

Optimize your Portfolio

Real-time aggregation dashboard

spot market
Derivatives
global exhibition
The context

The noise of global markets doesn't stop when you change country

Managing a portfolio distributed across several exchanges requires reviewing different panels, with different formats, at different times. For those who work remotely, this fragmentation is not just uncomfortable: it introduces a real delay between the moment a market movement occurs and the moment you can evaluate it.

  • Data scattered across multiple interfaces that do not communicate with each other.
  • Unstable connections in transit that make constant monitoring difficult.
  • Decisions made with partial or outdated information.

A system that unifies the information and interprets it before you open the application reduces that margin of error.

Decagon amplía: Unified dashboard showing data from multiple exchanges simultaneously
Augmented intelligence

Three capabilities that replace manual tracking with structured analysis

Each feature is designed to reduce the time between the appearance of relevant data and action on it, without requiring you to be in front of a screen permanently.

01

Predictive modeling over large volumes

The Decagon amplía engine processes price, volume and volatility history of each connected exchange to identify patterns that precede significant movements. The model continually recalibrates as new data comes in, rather than relying on fixed rules that lose accuracy over time.

02

Unified dashboard for multiple exchanges

Instead of switching between apps, you view positions, liquidity, and exposure of all your connected exchanges in a single consolidated view. The information is normalized so that the metrics are comparable between platforms with different data structures.

03

Automated alerts with own parameters

You define the risk thresholds that you consider acceptable for each asset or strategy. The system notifies when these limits approach, so that active supervision stops being constant and becomes punctual, without losing control over the portfolio.

How it works

The journey of a piece of data, from its origin to the recommendation

Understanding the process allows you to judiciously evaluate the results that the system delivers, instead of accepting them as a closed box.

1

Data ingestion

The APIs of each connected exchange transmit prices, orders and volumes continuously. The system validates the consistency of each source before incorporating it into the aggregated data set.

2

Predictive modeling

Artificial intelligence models process the aggregate set to detect correlations between assets and anticipate risk scenarios, adjusting their parameters as the market changes.

3

Strategic execution

The result is concrete recommendations and configurable alerts, which you can review and apply according to your own judgment and risk tolerance.

Use cases

Three investor profiles, three different ways of using the same system

The analysis engine adapts to the parameters defined by each user, not the other way around.

Profile A

The diversified investor

Maintains positions in various exchanges and asset classes. Use the unified dashboard to avoid reviewing each platform separately and set moderate alerts that prioritize capital preservation.

Profile B

The high risk strategist

Trade with leveraged positions and short horizons. Adjust risk parameters to broader thresholds and rely on predictive modeling to anticipate volatility changes before they materialize.

Profile C

The passive income manager

He travels constantly and cannot monitor the market on a daily basis. Delegate monitoring to automated alerts and review recommendations in scheduled blocks of time, without losing responsiveness.

Transparency

Direct answers to frequently asked technical questions

No vague promises – this is how Decagon amplía addresses security, compatibility and latency.

How is my data and API keys protected?

The connection credentials to each exchange are stored encrypted and are used exclusively with read permissions when the user configuration allows it. Decagon amplía does not require withdrawal permissions to operate the analysis panel.

What exchanges is the platform compatible with?

The platform is designed to connect via API with the exchanges most used by active investors. Exact support depends on the public API availability of each platform and is expanding progressively.

How quickly are market changes reflected on the dashboard?

Data ingestion operates continuously, so the gap between the market and the panel remains within minimum margins. The system is designed to operate stably even with intermittent connections, typical of a mobility context.

Your capital does not rest, neither does your technology

Start the process of integrating your exchanges and define your first risk parameters in a guided configuration session.