Institutional analysis, without barriers to access

Data-based decisions for your wealth planning

Norekun Selmero evaluates market data in real time and translates it into concrete options for action. The platform is aimed at families looking to build long-term financial security using the same analytical tools previously reserved for institutional investors.

Norekun Selmero analysis interface for displaying market and risk data
Live key figures, example presentation
Data points per analysis cycle 142,000
Portfolio diversification
Response time to market events < 1 sec.

From raw data to a usable basis for decision-making

The path from a data point to a recommendation follows a fixed, comprehensible process. Each stage reduces noise and increases the relevance of the remaining information.

01

Data collection

Market, price and economic data are continuously compiled and structured from publicly available sources.

The raw data goes through a cleansing process before being incorporated into the modeling. This eliminates false signals at an early stage.

02

Pattern recognition

Statistical models identify recurring relationships between key figures, time periods and market phases.

Identified patterns are checked against historical data to separate short-term randomness from reliable trends.

03

Action derivation

The tested samples result in concrete suggestions for portfolio structure, each with justification and risk assessment.

You will not receive a blanket purchase recommendation, but rather a classification of how a position works in the context of your overall strategy.

Process efficiency compared to manual analysis
Process step Manual analysis Norekun Selmero
Evaluation of new market data hours seconds
Comparison with portfolio structure Manual, prone to errors Automated
Update interval Weekly/Monthly Continuously

Modules for forecasting and risk management

Each module fulfills a clearly defined task within the overall analysis. Details on the technical functionality can be found in the fold-out instructions.

Active in real time

Predictive market modeling

Forecast models estimate the development of relevant key figures based on historical and current data and continually update this assessment.

Technical details

The modeling combines time series analysis with factor weighting. Input data is re-normalized before each round of forecasting.

Continuously checked

Risk classification

Positions are classified according to volatility, correlation and concentration and marked accordingly.

Technical details

The classification considers three-factor correlation matrices over rolling time windows.

Context dependent

Scenario simulation

Various market trends are simulated against the current portfolio structure in order to show scope for reaction.

Technical details

Simulations are run based on historical stress phases and parametrically generated alternative scenarios.

User specific

Individual strategy adjustment

Recommendations take into account the investment horizon, risk tolerance and existing obligations of the respective family.

Technical details

Parameters are queried anew at every session and are weighted and incorporated into the recommendation logic.

No minimum deposit as a strategic efficiency advantage

Institutional analysis tools have historically been linked to high entry fees. Norekun Selmero separates the quality of the analysis from the amount of capital invested, making use independent of the starting volume.

criterion Classic asset management Norekun Selmero
Minimum deposit Often five digits None
Analysis update Periodically Ongoing
Access to institutional methodology Restricted Completely

A lower starting capital does not mean a lower level of information. The depth of analysis remains the same regardless of the amount invested, increasing the relative benefit for smaller portfolios.

How the platform responds to changing market conditions

The following examples show the process, not the result, of a specific investment decision. Every real recommendation also takes your individual initial situation into account.

Scenario A

Increased market volatility

A sudden increase in volatility in a sector triggers an automatic revaluation of affected positions.

  • Detection of unusual price movements
  • Comparison with historical comparison phases
  • Recalculation of the risk ratio for each position
  • Weight adjustment suggestion
Scenario B

Concentration risk in the portfolio

If the proportion of an individual value grows above a defined threshold, the system reports a structural deviation.

  • Ongoing review of portfolio weighting
  • Comparison with the stored target profile
  • Calculating the diversification deficit
  • Presentation of possible compensation steps

Risk minimization as a continuous process

With Norekun Selmero, risk reduction does not come about through a one-time recommendation, but rather through repeated testing of correlations and weightings over time. This means that the portfolio structure remains adapted to changing market conditions instead of remaining at a unique analysis level.

Analysis as a basis, not as an automatism

Norekun Selmero provides information bases for decisions, but does not make them independently instead of the user. Each recommendation is displayed with its derivation so that the basis of the assessment remains comprehensible.

Norekun Selmero team working on analysis models

Security, data protection and methodology

How is my data processed?

Your data will only be used to create your individual analysis and will not be passed on to third parties for advertising purposes. Processing takes place on servers within the EU.

What database does the system work on?

The models use publicly available market data as well as the portfolio information you provide. No undisclosed or untraceable sources are included.

Does Norekun Selmero replace personal financial advice?

No. The platform provides data-based decision-making principles. For tax or legal questions, we also recommend individual advice.

What happens if I increase my starting capital later?

The depth of analysis remains unchanged. Only the absolute weighting of individual positions is recalculated according to your new capital base.

Can I stop using it at any time?

Yes. There is no minimum term. Cancellation is possible via the account settings or via the contact below.

EU

Data processing according to European data protection standards, with server location within the European Union and encryption according to current industry standards.

Further questions? Go to the full FAQ page

Start your first analysis with no minimum amount

The setup takes place in just a few steps. Immediately after creating your profile, you will receive access to the first evaluations of your initial situation.