AI Data Intelligence · Jeongmil Dexeris
It is an AI-based data analysis and decision optimization platform that fills the gaps between projects with profits. Manage risk with proven backtesting strategies.
Get started with free data diagnosticsThe problem of irregular income structure
A freelancer's financial decisions need to be as flexible as the project schedule. Jeongmil Dexeris eliminates market noise through real-time data intelligence and helps your assets move on the optimal path 24 hours a day.
core technology
Technical sophistication is not an end in itself. Jeongmil Dexeris verifies the utility of every algorithm based on two criteria: risk reduction and return optimization.
We only suggest strategies that have been simulated tens of thousands of times based on past data. Unproven hypotheses are filtered out before being applied to actual assets.
It immediately detects market volatility and activates a loss defense mechanism. The focus is on preventing sharp declines in assets, even during periods of irregular income.
Build a customized portfolio based on asset size and target rate of return. We respond with the same principles from small-scale operations to asset expansion stages.
How it works
Jeongmil Dexeris doesn't just present results. It is designed so that you can check step by step what data was used and what procedures were used to arrive at the strategy.
Monitor global financial indicators and market trends in real time. The collection range is tailored to individual investment preferences and goals.
Derive meaningful correlations through AI deep learning models. We focus our analysis capabilities on distinguishing between noisy indicators and real signals.
We provide highly efficient decision-making guides based on backtesting results. The proposed strategy is specified along with risk tolerance prior to implementation.
Use cases
Strategies are designed based on specific situations linked to the project cycle rather than abstract indicators.
Case 01
Defensive positions are placed first to prevent asset flows from rapidly decreasing even during periods of income disruption. The goal is to minimize losses, while aggressive profit seeking separates the following steps:
Case 02
Surplus funds generated after project completion are managed within the scope of maintaining liquidity. We prioritize a structure that can be recovered immediately when needed, and within that we secure room for growth.
Frequently Asked Questions
Backtesting is performed on multiple years of market data, and the range of reference periods varies depending on the asset class and strategy type. We review short-term volatility indicators and long-term trend indicators together to reduce bias in certain intervals.
Yes, it is possible. By entering the project cycle, average income fluctuation, and target risk level, the portfolio composition and rebalancing criteria are adjusted accordingly. Even if the assets are the same, the distribution proportion is proposed differently for each individual.
no. Backtesting is a process that verifies the logical feasibility and risk structure of a strategy based on past data and does not guarantee future performance. Jeongmil Dexeris jointly designs loss defense mechanisms based on this premise.
Receive your first intelligence report today.
Apply for platform access