Sendanavia connects with your exchange, analyzes thousands of market variables in real time and executes automatic adjustments according to your risk profile. No spreadsheets or constant monitoring.
Thousands of price, volume and volatility signals are updated every second. Deciding manually under that pressure often results in late or impulsive decisions.
Reviewing charts, news and on-chain metrics at the same time consumes time and attention. The usual result is emotional bias: selling out of panic or buying out of euphoria.
Our predictive models process the same data in real time and adjust portfolio exposure without emotional intervention. The decision is based on probability, not impulse.
The process is designed to be set up in a single session, without prior knowledge of algorithmic trading.
Link your exchange using a read-only API key and limited trading permissions. Your funds remain in your own account at all times.
Depending on your risk profile, the system chooses between strategies previously validated through backtesting and adjusts them to your current market conditions.
Portfolio realignments are executed automatically, with exposure limits set in advance. You can pause the execution at any time.
We do not publish testimonials or promised profitability figures. We explain the method so you can evaluate if it meets your criteria.
The system combines time series analysis with volatility indicators and on-chain indicators. Each strategy is backtested on historical data before being activated in production.
We do not seek to maximize gross profitability, but rather risk-adjusted return. This means accepting less exposure in periods of high volatility, even if this reduces potential short-term gain.
Sendanavia operates using API keys with restricted permissions: you can execute trades but never withdraw funds. Credentials are stored encrypted and are not shared with third parties.
Sendanavia was born for those who want exposure to crypto assets without spending hours daily monitoring charts. The approach is technical and measured: we prioritize risk management over the promise of performance.
Each automated decision is recorded and auditable from your panel. You can review at any time which parameters triggered a portfolio adjustment.
You define the profile once during setup. You can change it later without losing performance history.
The exposure is concentrated in assets with larger capitalization and lower historical volatility. The system preventively reduces positions in the event of signs of market instability.
It combines consolidated assets with a smaller portion of emerging assets selected by quantitative criteria. The model adjusts weights periodically according to market conditions.
Accept greater volatility in exchange for greater exposure to significant market movements. The algorithm maintains defined maximum loss limits to avoid uncontrolled exposure.
The connection and risk profile selection process is completed in less than 60 seconds. No additional technical configuration required.
Start nowInvesting in crypto assets involves risk of loss of capital. Past results obtained through backtesting do not guarantee future returns. Sendanavia is an automation and analysis tool, it does not provide personalized financial advice.