Quantora Invest continually analyzes cryptoasset markets and translates that volume of data into clear recommendations, without requiring you to interpret charts or technical indicators on your own.
Start nowCryptoasset markets generate price movements, volume and on-chain activity 24 hours a day. No team can review that amount of information consistently enough to detect patterns before they lose value.
Quantora Invest acts as a filter: its models identify the signals with the greatest statistical weight and discard the noise that often leads to hasty decisions.
Our algorithms constantly consult market data, trading volume and on-chain activity. The goal is not to predict with absolute certainty—no system can do that—but to identify probabilities and trends early enough to act judiciously.
Each recommendation incorporates risk parameters defined in advance: exposure limits per asset, exit signals and adjustments to changes in volatility. The priority is to protect capital, not to maximize risk in search of specific results.
Whether you manage a personal portfolio or a company's assets, the system adjusts its recommendations based on available capital and indicated risk tolerance level, without the need to manually reconfigure the process.
Quantora Invest combines machine learning models with risk management criteria common in professional financial analysis. We do not replace the investor's judgment: we provide refined and organized information so that the final decision remains yours.
The parameters behind each recommendation are available for review, so you can understand the reasoning before acting.
Learn more about usThe system collects information from global cryptoasset markets—price, volume, and on-chain activity—continuously 24 hours a day.
Each generated signal undergoes a validation process against different historical scenarios before becoming a visible recommendation.
Once validated, the strategy is presented with defined entry, exit and risk parameters, ready for you to decide whether to implement it.
The main dashboard brings together the portfolio status, active signals and the level of risk taken in a single view, without additional menus or hidden settings.
Interface designed for decision making, not distraction.
View demoThe system incorporates exposure limits and exit signs defined before each recommendation. This does not eliminate risk—no model can do this in volatile markets—but it reduces the likelihood of holding an exposed position beyond the parameters you have agreed to.
The initial setup—available capital, risk level, and assets of interest—is designed to be completed in less than a minute. The analysis and subsequent adjustment of recommendations is continuous and does not require constant manual intervention.
Each recommendation is based on models trained with historical and real-time market data, validated through backtesting. You can review the parameters underlying each signal before deciding whether to apply it.