Olarvi Evaruno market data and analysis tools on one screen

Real-time market analysis for your long-term financial security

Olarvi Evaruno continuously evaluates over 500 trading pairs and translates the results into comprehensible decision-making principles. The aim is to create a reliable basis for wealth planning for families in Switzerland.

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Example risk metrics
Volatility 42
Liquidity 78
Correlation 31

How market data becomes a comprehensible investment decision

Raw data alone does not create added value. Only through structured evaluation does a foundation emerge on which families can build their wealth planning. Olarvi Evaruno combines ongoing market observation with statistical modeling to reveal patterns that would otherwise escape manual inspection.

Each recommendation goes through a multi-stage check: data collection, risk assessment and plausibility check. This means the path from the raw information to the concrete recommendation for action remains traceable.

1

Data collection

Price data from over 500 trading pairs is continuously recorded.

2

Modeling

Statistical models identify recurring patterns and deviations.

3

Risk assessment

Volatility, liquidity and correlation are quantified.

4

Recommendation

Results are converted into a concrete, documented recommendation for action.

Technical fundamentals of analyzing over 500 trading pairs

The following four areas form the foundation of the platform. They interlock and together provide a consistent picture of the market situation.

01

Real-time market analysis

Price movements across more than 500 trading pairs are continuously recorded and evaluated. Deviations from the historical pattern become apparent within minutes, not the next trading day.

02

Risk Modeling

Volatility, liquidity and correlation between asset classes are quantified. This creates a risk profile that forms the basis for any further recommendation.

03

Predictive signals

Statistical models derive possible development paths from historical patterns. Signals are provided with a confidence level so that their significance can be assessed.

04

Portfolio optimization

Existing investments are checked for concentration risks. Suggestions for diversification take into account the individual investment horizon and personal risk-bearing capacity.

Transparency as the basis of trust

Data quality determines the reliability of every analysis. Incoming price data is checked for completeness and consistency before it is incorporated into a model. Incorrect or incomplete data records are marked and excluded from the evaluation.

The underlying models follow documented rules. Every recommendation can be traced back to the key figures used. Users not only receive a result, but also the reason on which it is based.

Olarvi Evaruno team checking market data and analysis models

Concrete use cases for wealth planning

Family wealth

Securing family assets in the long term

For middle-income families, preserving assets is often more important than short-term returns. Olarvi Evaruno provides regular risk reports that show how strongly a portfolio would react to individual market events. Decisions can be made based on comprehensible key figures instead of guesswork.

Retirement planning

Plan retirement provision based on data

A long investment horizon changes the requirements for a portfolio. The platform maps different time horizons and shows how the risk profile of an investment is likely to develop over ten or twenty years. In this way, the precautionary strategy can be adjusted at an early stage instead of only reacting to market fluctuations.

Diversification

Implement strategic diversification

Concentration risks often arise unnoticed, for example when several positions are highly correlated with one another. The analysis of over 500 trading pairs makes such connections visible and provides concrete suggestions for diversification, adapted to individual risk-bearing capacity.

Questions about data protection, reliability and setup

How is data protection guaranteed in Switzerland?

Personal and financial data is processed exclusively for the purpose of analysis. The processing takes place taking into account the data protection regulations applicable in Switzerland. Access to stored data is logged and limited to a minimum.

How reliable is the system during strong market fluctuations?

The analysis models are regularly reviewed against historical market phases, including periods of increased volatility. If there are unusual data patterns, a warning is issued instead of an unsafe recommendation.

How does the setup process work?

After submitting your inquiry using the contact form, there will be a conversation to assess your existing financial situation and personal goals. Access to the analysis platform is then set up and the relevant key figures are explained.

Start with a data-driven inventory of your investment strategy

An initial conversation will clarify which key figures are relevant to your situation and how an initial analysis can be set up.

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Designed for Swiss data protection requirements and long-term wealth planning.