Die Wall-Street-Chronik analytics platform: Real-time market data and AI-powered dashboards
AI-powered market analysis

Data-driven decisions for volatile markets

Die Wall-Street-Chronik analyzes market and portfolio data in real time across multiple trading venues and provides concrete, comprehensible recommendations for action for institutional and private investors.

Dashboard view: consolidated position overview, risk metrics and signal history from all connected accounts — in a single interface.

Predictive models instead of static key figures

The system continuously processes historical and current market data and uses it to calculate probability models for price movements, liquidity bottlenecks and volatility phases. Results are presented as clearly weighted signals, not as blanket forecasts.

Each recommendation is understandable with the underlying data points and model weighting. You remain in control of every decision — the system provides the analytical basis.

  • Data updateReal time, interval < 1 sec.
  • Analysis horizonIntraday to 90 days
  • Model typeHybrid, statistical & neural
  • Signal outputWeighted confidence values
  • TraceabilityComplete data provenance

All positions, one surface

Die Wall-Street-Chronik connects to multiple exchanges and trading venues simultaneously, bringing together accounts, order books and transaction histories in a unified dashboard. Fragmented data sources are consolidated into a consistent overall view.

Central account overview

Balances, open positions and history of all connected exchanges in a consolidated view, without manual comparison.

Synchronized data flows

Incoming market data and account movements are normalized and converted into a consistent format, regardless of the source platform.

Comparable metrics

Performance and risk metrics are reported across platforms using the same calculation bases.

The integration takes place via standardized API connections with reading or, depending on the configuration, executing access. Access data is stored encrypted and can be revoked at any time.

Understand exposure before it becomes a problem

Analytical model

Correlation and volatility analysis

The system continuously calculates the correlation between positions held and identifies cluster risks that would not be visible if individual assets were viewed in isolation. Volatility peaks in individual markets are simulated in terms of their effect on the overall portfolio.

Optimization effect

Concrete adjustment suggestions

  • Early identification of disproportionately weighted positions
  • Suggestions for diversification based on current correlation data
  • Simulated impact of individual adjustments before implementation
Scenario simulation

Stress testing under historical market conditions

Current portfolio compositions are calculated against past market phases with high volatility. This makes it possible to estimate how an existing position would have behaved under comparable conditions.

Decision support

Reduced reaction time to market movements

Threshold-based warnings inform you as soon as defined risk limits are reached. The decision about an adjustment remains yours; the system provides the database for this in real time.

Architecture of the analysis process

Transparency about how it works is part of the platform. The following steps describe the path from raw data to an actionable recommendation.

01

Data collection

Continuous retrieval of market, order and account data via connected API interfaces.

02

Normalization

Unification of different data formats and timestamps into a consistent internal schema.

03

Model calculation

Application of statistical and neural models for pattern recognition and risk assessment.

04

Signal output

Presentation of weighted recommendations with complete traceability of the data origin.

Data encryption TLS 1.3, AES-256
Average signal latency < 400 ms
API access model Read/configurable
Die Wall-Street-Chronik team analyzing market and risk data

Developed for decision-makers, not for hobby trader tools

Die Wall-Street-Chronik is aimed at investors and decision-makers who need quantitative basis for position decisions. The platform does not replace investment advice, but rather provides the analytical basis on which well-founded decisions can be made.

Every methodology, every model and every data source is documented and visible. Scalability comes from standardized interfaces, not from sacrificing data depth.

Platform access for professional users

Access to Die Wall-Street-Chronik occurs after a short check of your usage context. This ensures that dashboard configuration and data connection fit your portfolio.

Die Wall-Street-Chronik provides analysis data and model results to support decision-making and does not provide individual investment advice. You make trading decisions on your own responsibility based on the information provided.