Ricchezza Infinita connects your financial data to a predictive analytics engine that allocates, monitors and rebalances capital without ongoing manual oversight. Designed for those who work on a project basis and want to keep their capital active between one assignment and another.
The Ricchezza Infinita engine does not generate isolated forecasts: it integrates market data, personal risk parameters and liquidity constraints into one continuous process.
The system processes time series, volatility indicators and liquidity signals in parallel, updating estimates at regular intervals without manual intervention.
Once the parameters have been defined, the execution of orders occurs without repeated manual confirmations: the user establishes the operating limits only once during the configuration phase.
The portfolio is incrementally rebalanced, reducing the need for large-scale corrective actions and concentrating available capital under favorable operating conditions.
The entire activation process, from data connection to first allocation, is designed to be completed in less than a minute.
Linking the source of liquidity and defining basic risk parameters. No paper documents, no waiting for manual verification.
The model elaborates the starting scenario and proposes an allocation consistent with the indicated time horizon and risk tolerance.
Confirmation of parameters and start of automated operation. From this moment the system monitors and rebalances without further manual actions.
The technical component of the system is built on explicit risk management rules and optimization parameters updated in real time.
Each allocation is bound by maximum exposure thresholds, related to the profile declared by the user and recalculated at each analysis cycle.
The system updates the portfolio weights based on changes in volatility, available liquidity and time constraints indicated during the configuration phase.
The system is designed for non-linear income, where available liquidity varies based on project cycles.
Capital not committed to active projects is automatically allocated, maintaining a defined liquid quota for current operational needs.
In the presence of sharp market changes, mitigation algorithms automatically reduce exposure on the most sensitive positions.
The accrued returns can be reinvested according to predefined rules, without requiring a periodic manual review of the portfolio.
Ricchezza Infinita is built for independent professionals who do not have the time to monitor the markets during the operational phases of their assignments. The interface reduces recurring decisions to a one-time set of parameters, while risk monitoring remains active continuously.
The platform does not require advanced financial skills: the parameters are expressed in operational terms, such as risk thresholds and time horizons, not in complex trading terminology.
The most frequently asked questions concern security protocols, data processing and withdrawal conditions.
Account access is protected by multi-factor authentication and communications between client and infrastructure are encrypted. The operating parameters set by the user can only be modified after identity verification.
The data necessary for the analysis is used exclusively to calculate the allocation parameters and is not shared with third parties for commercial purposes. You can request to export or delete your data at any time.
Withdrawal requests are processed based on the actual liquidity available in the portfolio at that time. Illiquid positions require a divestment time consistent with the nature of the underlying asset.
The initial setup requires connecting the liquidity source and defining the risk parameters. The rest of the process is managed by the system.