Belvoryx - visualization of financial data and investment strategies based on artificial intelligence
Predictive intelligence applied to global markets

Copy-trading AI strategies to diversify remote income

Belvoryx analyzes large volumes of market data and automatically replicates quantitative strategies that pass rigorous filters of historical consistency. Designed for those who invoice in foreign currency and are looking for a second source of income without spending hours operating manually.

Models monitored by financial analysts before being enabled for replication.
Processing price, volume and volatility series in multiple markets.
Continuous monitoring of positions and configurable exposure limits.
The volatility problem

A remote income does not always mean a stable income

Working for clients abroad usually means charging in dollars, but also depending on a single client, a variable exchange rate and demand cycles that are not controlled. For many Argentine freelancers and developers, this dependency translates into months of unequal income, with no room to plan in the medium term.

The Belvoryx approach

Instead of asking the user to become a trader, Belvoryx identifies strategies managed by quantitative managers with auditable track records and allows their operations to be replicated proportionally to the available capital. Strategy selection combines statistical consistency filters, drawdown control and correlation with other assets in the user's portfolio.

Manual management

  • It requires constant monitoring of the market.
  • Decisions influenced by the emotional moment.
  • Difficult to sustain alongside a full-time remote job.

AI assisted management

  • Execution based on rules and data, not impulses.
  • Periodic review of strategies, not minute-by-minute operation.
  • Risk parameters defined before starting.
Belvoryx - quantitative analysis team working on financial data models
Who we are

A platform built on quantitative analysis, not promises

The team behind Belvoryx combines training in quantitative finance and data engineering. The goal of the product is simple to state and difficult to execute well: reduce the margin of human error in financial decision-making through models that process information at a scale that a person could not encompass alone.

We do not promise guaranteed returns. We work on the premise that a data-backed decision, with explicit risk limits, is preferable to an intuitive decision under market pressure.

How it works

The bridge between big data analysis and automated execution

The process is divided into three stages, each with its own quality control before moving on to the next.

Step 01

Data ingestion

The models incorporate historical and real-time series of prices, volume, volatility and liquidity of different instruments and markets. This basis is what allows us to distinguish repeatable patterns of statistical noise.

Step 02

AI Filtering

Among thousands of possible combinations of strategies, the system retains only those that exceed minimum thresholds of historical consistency, drawdown control and acceptable correlation with other assets in the portfolio.

Step 03

Automated replication

The enabled strategies are executed proportionally to the capital assigned by each user, respecting the previously configured exposure limits. Manual intervention is reserved for parameter adjustments, not for daily operation.

Risk management

The priority is not to maximize exposure, but to limit it

Every investment model involves risk of loss of capital. Belvoryx's job is to make that risk visible, measurable and configurable, instead of leaving it to chance or the emotion of the moment.

Risk modeling

Each candidate strategy is evaluated based on its all-time high drawdown, relative volatility, and sensitivity to atypical market events. Only those that meet limits previously defined by the analysis team are enabled.

Safety standards

  • Encryption of data in transit and at rest.
  • Capital segmentation by strategy, with user-configurable exposure limits.
  • Auditable record of each replicated operation.
  • Periodic review of models in production by the analysis team.

Real-time monitoring

Strategy A — Global Fixed Incomewithin limits
Strategy B — Currency Pairswithin limits
Strategy C — Diversified IndicesUnder review
Total portfolio exposureConfigured by user

Illustrative panel of the type of monitoring available; Actual values ​​depend on each account configuration.

Decision panel

An interface designed to review, not to operate all day

The panel brings together the information necessary to understand what you are investing in, without requiring advanced trading knowledge. Adjustment decisions—changing risk limits or pausing a strategy—are made in just a few steps.

Illustrative view of the decision panel — does not represent actual market data.

What the panel shows

  • Distribution of capital between active strategies.
  • Current exposure level versus configured limit.
  • Consistency history of each selected strategy.
  • Alerts when a strategy approaches its drawdown limit.

Accessibility

The design prioritizes legible contrast, clear visual hierarchy and language without unnecessary technicalities, so that people without prior financial training can interpret their own information without depending on third parties.

Frequently asked questions

Direct answers before you decide to move forward

Liquidity and access to capital

Can I withdraw my capital when I need it?

Access to funds depends on the conditions of each replicated strategy and the settlement times of the underlying market. Before allocating capital to a strategy, the dashboard displays its estimated liquidity conditions.

Is there a minimum amount to start?

The requirements vary depending on the strategy chosen, as some operate with instruments that have different minimum position sizes. This information is clearly displayed before any assignment is confirmed.

Logic of artificial intelligence

How are strategies that can be replicated chosen?

They are evaluated based on their history of consistency, their relationship between return and risk, and their correlation with other assets. Only those that pass these filters are available for replication, and that list is reviewed periodically.

Does the system guarantee positive results?

No. No model can guarantee returns. What Belvoryx offers is a data-driven selection and execution process, with defined risk limits, rather than decisions made intuitively or under pressure.

Onboarding

What do I need to create an account?

Basic identity data and the account from which the transaction will be operated, in accordance with the usual requirements of financial platforms. The process is designed to be completed without prior technical assistance.

Do I need previous trading experience?

It is not a requirement. The panel is designed so that the risk parameters and performance of the strategies can be understood without the need to operate manually or interpret advanced technical charts.

Diversify your income with data-backed decisions

If your income depends on a single customer or a single currency, adding an additional source managed with explicit risk criteria may be a reasonable step. The first step is simply to review what strategies are available and how they perform.

Belvoryx does not guarantee returns. Investment decisions involve risk of loss of principal. The information presented is for educational purposes and does not constitute personalized financial advice in accordance with current regulations in Argentina.