Jerónimo Martins — predictive analytics dashboard for real-time trading
Artificial Intelligence for Daily Trading

Smart Decisions in Real Time

Jerónimo Martins processes large volumes of market data through predictive models and returns objective signals, without the fatigue or emotional bias that plagues manual analysis. Our difference: instant withdrawals, without grace periods on your capital.

Panel with volatility, exposure and available liquidity indicators, continuously updated during the trading period.

Market Context

Daily Volatility Requires More Than Intuition

An active trader monitors, on average, dozens of instruments and indicators simultaneously. As the volume of data grows, the human ability to identify relevant patterns in a timely manner diminishes. It's in this gap — between the signal and the decision — that AI-assisted analysis reduces the margin for error.

Criterion Traditional Analysis Jerónimo Martins — AI Intelligence
Processing speed Limited to the ability to read and interpret manually Continuous processing of multiple data sources in parallel
Pattern detection Subject to the analyst's experience and state of attention Models trained to identify recurring correlations in price history
Emotional risk management Vulnerable to impulsive decisions in times of loss Exposure rules applied consistently regardless of emotional context
Availability Restricted to the trader’s hours and availability Continuous monitoring during active market sessions
Technical Capabilities

The Technical Basis Behind the Recommendations

Three components work together to transform market data into actionable recommendations without unrealistic promises about guaranteed results.

01

High Accuracy Predictive Models

Algorithms trained with historical series and real-time market data identify probabilities of price movement, serving as a statistical basis for the recommendations presented.

02

Execution in Milliseconds

The execution infrastructure is designed to minimize latency between signal generation and order placement, reducing the risk of slippage in volatile markets.

03

Optimized Banking Management

Position sizing rules and exposure limits are applied automatically, helping to preserve capital during consecutive losing streaks.

About Our Approach

A Data-Driven Approach, Not Promises

Jerónimo Martins was built for investors and traders who prefer data-driven decisions over generic predictions. We do not promise guaranteed returns: what we offer is a structured analysis process, with clear and auditable criteria for each recommendation generated.

Each signal sent by the platform is accompanied by the context that generated it — considered indicators, statistical confidence level and suggested exposure — so that the final decision always remains in the user's hands.

Jerónimo Martins — data analytics team and infrastructure for investors

Total Liquidity: No Grace Periods

Control over capital always remains with the user. A withdrawal request is processed immediately upon confirmation, with no artificial lock-in periods or waiting windows associated with other automated investment platforms.

This feature does not replace the need for risk assessment: it just means that the decision to keep or withdraw funds is yours, at any time, without additional contractual restrictions.

Security and transparency note. All withdrawals undergo identity and fraud prevention checks, as required by regulations in force in Portugal. These procedures protect the integrity of the account, without introducing grace periods on available capital.
Methodology

How the Platform Processes Market Signals

The process is divided into three sequential phases, designed to reduce noise and reinforce the consistency of the recommendations presented.

Data Ingestion

Market feeds, trading volumes and technical indicators are collected continuously from multiple sources, forming the raw basis of analysis.

Algorithmic Filtering

The data goes through a statistical refinement process that eliminates noise and highlights patterns with historical relevance to the instrument under analysis.

Strategic Execution

The final result is translated into a recommendation with an associated confidence level, including suggested position sizing and risk limits.

Frequently Asked Questions

Common Technical and Financial Issues

How is risk management carried out?

Risk is inherent to any trading activity, but our AI acts on statistical mitigation through exposure limits per trade, signal diversification and automatic exit rules in severe loss scenarios. None of these mechanisms eliminate the risk completely.

How does the withdrawal process work?

The request is submitted directly to the account and processed after identity verification, without additional grace periods. Completion time depends on the transfer method chosen and applicable anti-fraud validations.

How accurate is artificial intelligence?

Models are continually evaluated based on historical data and out-of-sample performance, but no predictive system guarantees future results. Reported accuracy refers to the statistical consistency of signals, not an assured financial outcome.

Ready to optimize your strategy?

Join traders who use predictive intelligence to maximize results, with full control over capital and access to withdrawals without waiting periods.