Artificial intelligence analysis
Statistical models trained on historical market series identify relevant correlations and anomalies for each asset class tracked, without manual intervention on the calculations.
Vivace Essorbance continuously aggregates and analyzes large volumes of market data to produce publicly traceable and verifiable portfolio optimization recommendations.
Each recommendation is associated with a trust indicator and searchable history, so the final decision remains entirely in your hands.
Families saving for the long term now have easy access to markets, but rarely to the analysis tools reserved for professional managers. Macroeconomic signals, sectoral variations and correlations between assets are multiplying faster than an individual can process them manually.
This asymmetry of information often pushes towards reactive decisions, taken on specific news rather than on a structural trend.
The platform combines three technical components to transform a stream of raw data into actionable and explained recommendation.
Statistical models trained on historical market series identify relevant correlations and anomalies for each asset class tracked, without manual intervention on the calculations.
Each recommendation is accompanied by a volatility indicator and an estimated maximum loss scenario, to situate the real exposure before any decision.
Tracked positions are re-evaluated with each significant market update, with an alert when a trend change exceeds a defined threshold.
Rather than reporting an overall success rate, Vivace Essorbance publishes the detailed history of each recommendation issued, including cases where the result was lower than expected.
The process follows three distinct stages, each independently audited before passing its result to the next stage.
Market feeds, macroeconomic indicators and financial publications are continuously collected and normalized, then cleaned of inconsistent values before any analytical processing.
The models evaluate several development scenarios over different time horizons and weight each hypothesis according to its historical probability and its sensitivity to risk.
The result is translated into a readable recommendation, accompanied by its confidence level and its estimated impact on the overall balance of the portfolio.
Vivace Essorbance was designed to put quantitative analysis methods usually reserved for institutions within the reach of families saving for the long term, without oversimplifying the complexity of the markets.
The technical vocabulary used — predictive intelligence, portfolio optimization, algorithmic transparency — is systematically explained in the interface, so that a decision is never based on a poorly understood term.
Learn more about the methodAccount information is encrypted at rest and in transit. No personal data is transmitted to a third party for commercial purposes, and access to internal logs is limited to operations strictly necessary for the operation of the service.
Each recommendation displays a plain language summary, a confidence indicator expressed as a percentage, and an explanation of the reasoning behind it. Technical terms are systematically defined when hovering or in the footnote of the file.
The platform is designed for continuous allocation monitoring over several years. The models incorporate short, medium and long horizons, and the recommendations always specify the duration over which they remain relevant.
Access to detailed analyses, confidence indicators and verified history requires no delegated management commitment.
Past performance, published in newspapers, does not constitute a guarantee of future results.