Prévalia continuously analyzes more than 500 asset pairs and provides, in real time, allocation recommendations calibrated according to your company's risk profile.
Optimize my cash flowRather than a narrow selection of assets, Prévalia simultaneously observes a wide range of pairs to spot relevant valuation gaps, without relying on a single segment.
The analysis engine processes a large universe of trading pairs in parallel, so as not to limit opportunities to a few already saturated markets.
The models are recalculated with each new market data, which keeps recommendations aligned with real conditions rather than fixed historical averages.
Each signal is documented: origin of the data, weighting logic and associated confidence level, so that the final decision remains informed and verifiable.
The final recommendation is never the product of an isolated calculation. It results from a structured sequence, which you can follow at each step.
Market feeds are continuously aggregated and cleaned, with a consistency check before any analytical processing.
Predictive models identify significant correlations and deviations across all monitored pairs, without manual intervention at this stage.
The result is translated into a clear recommendation, accompanied by an estimated level of risk and a decision horizon consistent with your cash flow.
Each recommendation incorporates a volatility estimate and an exposure limit, so that cash flow optimization remains compatible with an objective of prudence rather than speculation.
Prévalia was designed for executives and financial directors who want to exploit their excess cash without going through the methods and deadlines of a traditional trading room.
The goal is not to promise quick wins, but to provide ongoing, documented analysis, so that every allocation decision is based on up-to-date data rather than hunches.
Three direct effects on how your business manages its available cash.
Volatility thresholds and allocation limits are defined in advance, which avoids decisions taken urgently in the face of an isolated market movement.
Analyzing 500 pairs manually would be beyond the reach of an internal team. Prévalia renders in a few minutes what would require several hours of standby time.
Rather than leaving cash idle in a current account, the company has a regular vision of allocation opportunities compatible with its horizon.
The reliability of the system relies as much on the quality of the data as on the stability of the infrastructure that processes it.
Uninterrupted monitoring of market flows, without dependence on a single source of data.
The recommendations do not favor any particular asset: they arise solely from the signals detected by the model.
Each recommendation can be traced back to the data that motivated it, for ex post verification if necessary.
The analyzes provided by Prévalia constitute decision support and do not replace the judgment of the manager or his usual financial advisor. Recommendations are established on the basis of public market data and statistical models, with no guarantee of results.
Find out how Prévalia can integrate into your cash management, without prior commitment.