Financial Decision Analysis Platform
SPARTAN95 helps families read complex market data into clear recommendations, so long-term financial decisions no longer depend on guesswork or gut feeling.
Most middle class families don't have time to monitor the market every day. Work, children and household needs mean that financial decisions are often made hastily, or postponed because they feel they don't understand enough.
In fact, market volatility does not wait for anyone's readiness. Decisions taken without adequate data are at risk of increasing losses, especially for long-term savings such as education or retirement funds.
SPARTAN95 is designed to reduce that burden, by distilling large amounts of market data into relevant, easy-to-understand information.
The SPARTAN95 algorithm does not replace family considerations, but simplifies complex data to make decisions more informed.
The system studies historical patterns of various investment instruments and economic indicators, then develops estimates of market direction within a certain time frame. The results are presented as a representation of probability, not absolute certainty, so that families still understand the limits of a prediction.
Each portfolio is mapped based on its level of risk exposure. SPARTAN95 flags excessive concentration of assets in one sector or instrument, and suggests adjustments to spread risk more equally according to each family's tolerance.
Market data is updated continuously throughout trading hours. When significant changes occur that are relevant to a user's portfolio, the system highlights those changes so families don't have to monitor screens throughout the day.
Each recommendation generated is recorded along with the results, and can be searched by other users. We believe trust is built from openness, not one-sided claims.
These performance logs are compiled from aggregate data of users who granted sharing permission, and are presented without removing unfavorable records. Users can compare recommendations with actual results in the same period.
The process is structured in stages so that it is easy to understand, even though the technology behind it works continuously.
Data on asset prices, economic reports and market trends is collected from sources commonly used by the financial industry, then organized so that they can be compared consistently.
Predictive models process that data to recognize patterns and correlations that are difficult to spot manually, then distill them into the most relevant scenarios.
The analysis results are translated into easy-to-understand language, tailored to each family's risk profile and financial goals, without confusing technical jargon.
SPARTAN95 does not claim to be able to predict the market perfectly. Our focus is to present relevant data honestly, including limitations and levels of uncertainty.
We chose this approach because families need process certainty, not just promises of results.
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You can start by reviewing your recorded performance, before deciding to open an account and link your portfolio.