Reclaim Alliance - an analytical panel used to monitor market data

One analytical platform for many exchanges at the same time

Reclaim Alliance aggregates trading data from connected exchanges in real time and transforms them into specific, justified decision-making recommendations. We reduce the time needed to manually compare metrics between platforms.

Manual analysis loses its importance when data comes from many sources at the same time

Trading on several exchanges means several independent panels, several data formats and several price volatility rhythms. The analyst must quickly combine this information to make a decision based on the full picture of the situation.

  • Distributed data requires separate monitoring of each exchange panel.
  • Short reaction time windows limit the ability to perform full manual analysis.
  • Comparing risk indicators between markets increases the risk of omissions and interpretation errors.
  • The lack of a single source of truth makes it difficult to make decisions consistent with the established strategy.
Reclaim Alliance - a panel view supporting the analysis of investment data

A unified ecosystem connecting data, models and decisions

Four functional areas work on the same, unified data, thanks to which the conclusions from one module are automatically reflected in the subsequent ones.

Real-time analysis

Continuous processing of transaction data

The system reads data from connected exchanges at short time intervals and detects changes in price patterns and liquidity before they become visible in the standard candlestick view.

Many exchanges

One panel, many markets

Accounts from different exchanges are presented in one unified view, eliminating the need to switch between separate applications.

Mitigating risk

Exposure indicators in one place

The platform compares the level of exposure in individual markets and signals situations in which the total risk concentration exceeds the limits set by the user.

Automation of execution

Rules executed without delay

Predefined conditions can be implemented automatically on connected exchanges, which limits the impact of human reaction time on the transaction result, while maintaining full control over the rule parameters.

How data is transformed into a decision-making recommendation

The process consists of three steps that are fully visible to the user - without a black box and without modeling whose principles cannot be explained.

Stage 01

Data aggregation

Data from connected exchanges is read by APIs, normalized to a single format and synchronized over time so that comparisons between markets are methodologically correct.

Stage 02

Predictive modeling

Statistical models analyze historical and current relationships between prices, volume and liquidity, identifying patterns relevant to decisions over a given time horizon.

Stage 03

Decision optimization

The model results are transformed into a specific recommendation along with risk parameters. The final decision - manual or automatic execution - remains with the user.

From day trading to institutional portfolio management

Day trading on multiple exchanges

A trader monitoring several currency pairs on different exchanges receives one view of volatility and liquidity, which allows him to quickly assess which market conditions are currently the most favorable for the planned strategy.

Portfolio rebalancing

An analyst managing a portfolio spread across multiple assets and platforms uses a unified view of exposures to identify deviations from the target allocation and plan adjustments without manually converting data from each exchange separately.

Risk hedging

In situations of increased volatility, the system indicates positions whose total exposure exceeds the established limits, which allows planning hedging transactions before the risk translates into the portfolio result.

Security, integration and billing model

How data and connections to exchanges are secured

Connections to exchanges are made using API keys, which we recommend assigning only permissions to read and view orders. Data sent between systems is encrypted in transit, and access keys are not stored in a form that allows funds to be withdrawn.

What exchanges and APIs are supported

The platform is designed to work with commonly used APIs of cryptocurrency exchanges and traditional markets. The scope of supported integrations is updated as API standards of individual providers develop - a full, up-to-date list is provided at the account configuration stage.

What does the billing model look like?

The functional scope and cost of using the platform depend on the number of connected exchanges and the volume of analyzed data. Detailed conditions are presented individually after a short conversation regarding the scope of activity, so that the proposal meets the actual needs of a given account.

Start analyzing your portfolio across multiple exchanges

Connecting your account requires only API keys with limited permissions. The configured panel presents data from selected exchanges in one, unified view, ready for further analysis.

See the demo

Configuration takes place without the need to provide withdrawal rights.