Kramuzgolu AI synthesizes portfolio data from multiple exchanges into a single dashboard, so you can review exposure and risk without switching between platforms, currencies, or time zones.
Data is processed on EU-based infrastructure, in line with GDPR requirements applicable in Germany and the wider EU.
Kramuzgolu AI connects to your exchange accounts through read-only API keys and normalizes the incoming data — balances, open positions, order history — into a consistent set of metrics, regardless of how each exchange formats its own reporting.
Review aggregated exposure across all connected accounts from one interface, instead of logging into each exchange separately.
Volatility, concentration, and drawdown figures are calculated on the same basis across exchanges, so comparisons stay meaningful.
Generate a consolidated position summary suitable for personal record-keeping or discussion with a tax or financial advisor.
The interface groups holdings first by exchange, then by asset class, with a summary panel at the top showing net exposure and recent changes. Nothing is hidden behind additional logins once accounts are connected.
The underlying models process historical price behavior, order-book depth, and volatility patterns across connected exchanges. They do not forecast outcomes with certainty; they estimate probabilities and flag conditions worth your attention.
Real-time and historical data from every connected exchange is normalized into a common structure, so the model reads one coherent dataset rather than fragmented feeds.
The model identifies concentration risk, correlation between positions, and unusual liquidity conditions, surfacing these as flags rather than automatic actions.
Recommendations are ranked by expected risk-adjusted relevance to your existing portfolio, giving you a shortlist to review rather than a single directive.
Integration is designed to take minutes, not days, and to fit around irregular schedules and shifting time zones.
Add read-only API keys for each exchange you use. Keys are encrypted at rest and never grant withdrawal permissions.
Models run on a scheduled cycle and produce a ranked summary of portfolio risk and notable market conditions, available whenever you check in.
Act on recommendations directly through your exchange, or enable narrow, rule-based execution limits that you set and can adjust at any time.
Connections use read-only API keys, which cannot move funds. Credentials are encrypted at rest and in transit, and access is logged and restricted to systems required for analysis.
The platform supports connections to major spot and derivatives exchanges through standard API integrations. Additional exchanges can be added on request, provided they expose a compatible read-only API.
All account and portfolio data is processed and stored on EU-based infrastructure, in line with GDPR. Internal access is limited to systems and personnel directly involved in maintaining the analysis pipeline.
Connecting your accounts does not commit you to any trading action. It gives you a consolidated view and a set of ranked observations to review on your own schedule.