FundFoundry unifies data from several stock exchanges and markets in a single dashboard, and artificial intelligence models transform this volume of information into concrete, low-risk recommendations adapted to the Romanian market.
The dashboard aggregates quotes, indicators and risk signals from the sources you connect, updated in real time, without the need to manually consult each trading platform.
Most early stage investors have access to too much data and too little time to properly interpret it: financial reports, technical indicators, market news, each on a different platform. The result is either a hasty decision or none at all.
Without a tool to translate this information into practical terms, the risk is not only financial, but also that of prolonged inaction.
FundFoundry takes the data from the accounts and exchanges you connect and presents it in one place, without unnecessary technical jargon. AI models signal exactly what deserves your attention and why.
Four components work together: forecasting, risk control, unified visualization and real-time alerting.
Artificial intelligence models identify trends from historical data and recent market activity, providing an estimate of likely performance, not a guarantee of outcome.
Each asset in the portfolio is rated for volatility and exposure, so you can quickly see where the real risk is concentrated, not just the face value.
You connect multiple exchanges and trading platforms, and FundFoundry brings them together in one consolidated view with constantly updated data.
You get an alert when a tracked indicator crosses a threshold you set, so you don't have to manually monitor the market throughout the day.
The process is transparent: every stage is visible in the platform, without undeclared black boxes.
The platform collects prices, volumes and indicators from exchanges and connected accounts, updated at short intervals, and standardizes them in a common format.
The models analyze the data series to identify correlations, risk thresholds and deviations from the historical behavior of each asset.
The results of the analysis are translated into concrete recommendations, each accompanied by the reason behind it, so that the final decision remains yours.
You set an investment horizon and a monthly budget, and FundFoundry tracks the evolution of the selected assets against the established objective. The dashboard shows relevant deviations without notifying you for minor daily fluctuations that do not affect the long-term plan.
When the portfolio is concentrated on a few assets or a single stock market, the platform signals the degree of concentration and proposes unexplored asset classes based on historical correlation with existing positions.
In high-volatility ranges, the dashboard highlights high-risk positions and offers adjustment options, such as gradually reducing exposure, based on your defined risk tolerance.
FundFoundry was developed for professionals and early stage investors in Romania who find traditional trading tools difficult to interpret. The interface brings together data from multiple sources into a single view, and each recommendation comes with the explanation behind it.
The goal is not to eliminate human decision, but to reduce time and uncertainty in the analysis process so that financial decisions are based on verifiable data.
Connections to exchanges and trading accounts are made via read-only access where available, and data is encrypted both in transit and at rest. FundFoundry does not have access to your funds and cannot initiate transactions on your behalf.
The platform is built to connect with multiple exchanges and market data providers simultaneously. The exact list of integrations available for your account can be consulted directly in the configuration panel, as it varies by region and type of asset traded.
The cost structure is presented in full before account activation, with no hidden fees or additional fees per transaction. Specific pricing details are available at the time of registration, depending on the access level chosen.