Savun Kavorela continuously evaluates market data and automatically adopts the positions of carefully tested AI trading strategies. Decisions are based on models, not on the day.
Savun Kavorela is designed for investors who want to build capital strategically without tracking prices on a daily basis. The platform combines statistical models with the performance history of selected trading strategies and automatically replicates their positions.
Each strategy undergoes ongoing testing for consistency and risk behavior before it is released for copy trading. Decisions are not made by emotions, but by documented rules.
Four building blocks form the technical basis of the platform - from data collection to automated execution.
Price data, order book movements and news sources are continuously evaluated in order to record market changes without delay.
Statistical pattern recognition assigns current market situations to historical trends and estimates probabilities of occurrence, not certainties.
Positions of selected, historically reliable AI strategies are reproduced proportionately and automatically in your own account.
Fixed thresholds for position size and loss limitation apply regardless of market sentiment and your personal daily state.
Every decision follows a fixed process of four steps that is repeated continuously.
Market, volume and sentiment data from multiple sources are continually merged and checked for consistency before being incorporated into the models.
The models compare current patterns with historical trends and calculate probabilities for different market scenarios.
Each derived signal is compared against defined risk parameters. Only signals within defined limits are executed.
Released positions are automatically adopted and continuously monitored. Deviations from the expected development trigger a new review.
Anyone who combines professional responsibility with family rarely has the capacity to observe courses or manually readjust positions. Savun Kavorela handles this ongoing observation while the decision logic remains transparently documented.
Investors set framework conditions such as capital use and risk tolerance once. The implementation then takes place without daily interventions, based on the tested strategies of the platform.
Answers to the questions most frequently asked before making a decision.
The models process price data, trading volumes and publicly available market news from several regulated trading venues. Sources are regularly checked for topicality and consistency.
Once a selected strategy opens or closes a position, the same movement is replicated in proportion to the set capital share in the linked account. Execution is automated via the connected trading interface.
Strategies undergo ongoing review for historical consistency, risk behavior and response to changing market conditions. Strategies that fall below defined thresholds are removed from allocation.
Accounts are connected via encrypted connections. Access rights are limited to the functions necessary for execution, without direct access to deposits or withdrawals through the platform.
Yes. Every form of capital investment involves risk, including the loss of invested capital. The platform's risk controls limit position sizes but cannot completely eliminate losses.
The content presented on this page does not constitute individual investment advice. Past performance of individual strategies does not allow a reliable conclusion to be drawn about future results.
Access is granted after a short examination of the personal framework conditions in order to sensibly coordinate strategy selection and risk profile.