Optimize your investments and manage your risks in real time with Rendaubine. Transform your raw data into measurable growth levers.
Rendaubine continuously analyzes billions of data points from financial, operational and transactional sources. The system isolates statistically significant correlations and removes informational noise that usually slows down human analysis.
Each recommendation is accompanied by a confidence index and a sensitivity scenario, so that your teams can decide on objective bases rather than on intuitions.
Rendaubine was designed to respond to a concrete constraint: the speed at which a market evolves often exceeds the capacity of a team to process the available information. Our models are reviewed regularly by quantitative analysis practitioners in order to remain aligned with operational realities on the ground.
The objective is not to replace the judgment of decision-makers, but to provide them with a reliable, up-to-date and verifiable calculation basis, on which to base allocation or investment choices.
Each prediction generated by Rendaubine is logged, timestamped and compared with the actual results observed. These backtesting logs remain accessible to the user community, who can verify the predictive accuracy of the system over past periods.
| Period analyzed | Asset class | Predictive accuracy* | Tracking deviation |
|---|---|---|---|
| Current quarter | Listed stocks, large cap | Published at the end of the period | Published at the end of the period |
| Previous quarter | Corporate Bonds | Published at the end of the period | Published at the end of the period |
| Previous quarter | Currencies and commodities | Published at the end of the period | Published at the end of the period |
*Reporting structure used for publishing performance logs. The detailed values are updated at the end of each period and can be viewed in the audit area.
The models are tested on historical data not used during their training, in order to evaluate their generalization capacity before any deployment in production.
All past recommendations, including those which did not achieve their objective, remain available for consultation. This transparency allows each user to evaluate the reliability of the system over time.
Build futuristic scenarios based on historical data and macroeconomic variables, in order to anticipate several possible trajectories before committing capital.
Limit your exposure with configurable alert thresholds and continuous mapping of correlations between assets in your portfolio.
Receive notifications as soon as a market signal crosses a significant threshold, to adjust your positions with instant responsiveness.
Rendaubine connects to your existing sources without requiring an overhaul of your data infrastructure.
Connect your internal and external sources via standard connectors. No restructuring of your existing databases is required.
The models analyze incoming feeds, identify relevant correlations and generate scenarios ranked by confidence level.
Your teams validate or adjust recommendations directly from the dashboard, with full traceability of the decisions made.
Our teams can configure a demo tailored to your data flows and risk management objectives.
No credit card required for initial trial.