Built around how you actually invest, not a generic model
Most tools ask you to adjust your behaviour to fit their assumptions. Štedorix inverts that — the analysis adapts to your risk tolerance, time horizon, and goals from the start.
A closer look at the reasoning behind Štedorix, and why individual investors choose to work with it.
Analytics that starts with your constraints, not a one-size model
Many platforms run the same model on every account and label the output "personalized." Štedorix works the other way: your risk tolerance, time horizon, and objectives shape how the underlying data is weighted before any output reaches you.
That means two investors looking at the same market conditions can see meaningfully different guidance — because their situations are, in fact, different.
Four reasons investors stick with Štedorix
Adaptive, not static, modeling
Your inputs on risk appetite and time horizon feed directly into how signals are prioritized. As your circumstances change, the analysis changes with them — you're not stuck with a fixed profile set once at sign-up.
Built for individual investors, not institutions
Štedorix isn't a scaled-down version of an institutional trading terminal. It's designed from the ground up for people managing their own portfolios, with interfaces and outputs that don't require a finance degree to interpret.
Transparent reasoning, not black-box scores
Every prediction comes with the context behind it. You see what factors influenced the output, so you can weigh it against your own judgment instead of taking a number on faith.
A tool you refine, not one that locks you in
Adjust your risk settings and assumptions as often as your situation changes. Štedorix is built to be revisited, not configured once and forgotten.
The process behind every recommendation
Profile your risk parameters
You define your risk tolerance, time horizon, and goals. These parameters become the baseline that all subsequent analysis is measured against.
Run adaptive analysis
Market data is processed through models that weight signals according to your profile, rather than applying a single fixed methodology to every user.
Deliver context, not just numbers
Outputs are presented with the reasoning attached, so you understand why a signal was flagged and can decide how much weight to give it.
Built for a range of self-directed investors
Managing a retirement or long-horizon portfolio
Analysis weighted toward stability and gradual growth, aligned with a longer time horizon rather than short-term noise.
Reacting to shorter-term market movement
Signals tuned for a shorter horizon and a higher risk tolerance, without discarding the underlying reasoning behind each output.
New to investing and wary of overexposure
Conservative risk settings keep the analysis aligned with a lower tolerance for volatility while you build confidence.
See how Štedorix adapts to your profile
Get in touch to walk through how the analysis lines up with your own risk tolerance and goals.
Contact Štedorix