Funedorf platform interface with minimalist data visualization

Precision AI for data-driven decisions.

Fünedorf optimizes your investment strategy through real-time prediction models and verified performance logs. Scalable intelligence for sophisticated investors.

Every forecast is documented and can be traced in the public log - evaluation is done by the community, not by marketing.

From noise to knowledge.

Our algorithms filter market volatility in milliseconds to identify significant patterns that go beyond conventional analysis. The models provide information - the final decision remains with you.

  • Multivariant risk analysis
  • Automated pattern recognition
  • Real-time portfolio optimization
Fünedorf team evaluating market data and prediction models

Tool instead of black box.

We see Fünedorf as an analytical tool, not as a substitute for business judgment. The models structure data and show probabilities - the interpretation in the context of your strategy remains the responsibility of the investor.

This separation between calculation and decision is consciously chosen. It allows for comprehensible collaboration between humans and models, instead of blind trust in automated signals.

Transparency as standard.

We don't hide behind black box promises. Every recommendation and its result is documented in our public performance log and validated by the community.

Date Asset class Prediction score Result
04.03. Stock index 0.74 Confirmed
11.03. raw materials 0.58 Partly different
19.03. Foreign exchange 0.81 Confirmed
03/27 ETF portfolio 0.63 Under observation

Example excerpt of the log structure for illustration. You can find the complete, continuously updated entries in the customer area.

Community validation: Results are cross-checked and commented on by registered users.

Three steps to calibration.

01

Data source connection

Seamless integration of your existing depots and data streams, without interrupting current positions.

02

AI calibration

Adjusting the risk parameters to your individual strategy and risk tolerance.

03

Iterative optimization

Continuous learning of the model based on real market reactions and documented results.

Intended for different investment horizons.

Day trading

Identification of short-term inefficiencies in liquid markets, prepared for quick decision cycles.

Institutional

Strategic asset allocation for long-term growth, aligned with mandate and compliance requirements.

Risk management

Early warning systems for macroeconomic shifts, which traditional models often only capture with a delay.

Ready to make evidence-based decisions?

Join a new generation of investors who rely on validation over gut feeling.