We use AI-based data analysis to monitor the market in real time and reduce the risk in your portfolio. You get a clear recommendation — the decision is still yours.
The technology behind it
Our models are built to provide automated insights without the guesswork. Everything is explainable, measurable and verifiable.
Data from several markets is processed continuously, so that changes are captured as they happen — not afterwards.
Predictive models assess the risk profile of each portfolio and warn in the event of deviations from the norm.
The same basis for analysis applies regardless of portfolio size, from smaller savings holdings to larger capital.
Method
The process is divided into three steps, and you can follow it all the way. No step is hidden, and the final choice is always yours.
We obtain market data from several sources and ensure their quality before further processing.
The models assess patterns and risk, and put the data in context with your risk profile.
You receive a concrete recommendation with reasons, and decide for yourself whether and when to follow it.
Verified results
Our history is not based on selected examples. The results are updated in real time and can be followed by all users in the community.
The log is publicly available and audited by our user community, not just ourselves. We show the entire history, including the periods with weaker results.
Capital preservation
For you who live off your portfolio, it is more important to avoid large losses than to chase the highest possible return. It is the starting point for the entire model.
The system continuously monitors deviations in market data and flags changes early, so you can adjust the course before a drop becomes large.
This provides a more stable path towards returns, without promising a specific result.
| Traditional guesswork | Strong Equity Precision |
|---|---|
| Decisions based on gut feeling or delayed news | Decisions based on real-time data and modeled risk |
| Risk is only detected when the loss is visible | Deviations are notified before they have a major effect on the portfolio |
| Results are only shown on request | Results are logged publicly and continuously |
About Sterk Andeldømme
Sterk Andeldømme is built for users who want predictability over excitement. We combine AI-driven data analysis with a simple rule: all recommendations must be explainable.
We do not make decisions for you. We give you the basis to take them yourself, with less guesswork and more insight into what is actually happening in the market.
View the public performance log, evaluate the method for yourself, and decide at your own pace if Sterk Andeldømme is right for your portfolio.
No hidden fees. You see all terms and conditions before proceeding.