Every feature built for the multi-exchange reality
Robuste Mrisvane brings your positions, orders, and risk into one coherent view — then layers AI-supported analysis on top, so decisions are informed rather than fragmented.
A walkthrough of the core capabilities inside Robuste Mrisvane — from aggregation to AI-assisted review.
Aggregation
One ledger, however many exchanges you actually use
Instead of switching tabs to reconcile balances, Robuste Mrisvane pulls positions, orders, and account activity into a single, continuously updated view.
- Consolidated balances — spot, margin, and derivatives holdings shown together, not siloed by venue.
- Normalized data — figures are structured consistently so comparisons across exchanges are meaningful.
- Continuous refresh — your view stays current as positions change, without manual re-imports.
AI-Supported Analysis
Context alongside the numbers, not instead of them
Robuste Mrisvane's analysis layer surfaces patterns across your aggregated data — exposure concentration, correlated positions, and notable shifts — so you spend less time hunting and more time deciding.
- Exposure summaries — a readable breakdown of where risk is concentrated across venues.
- Pattern flags — notable changes in position size or correlation are highlighted for review.
- Human-in-the-loop — analysis is presented as input to your judgment, not an automated decision.
Risk & Structure
See structural risk before it becomes a surprise
Positions that look fine in isolation can compound into concentrated risk once viewed together. Robuste Mrisvane is built to reveal that structure.
- Concentration checks — understand how much of your book sits in a single asset or venue.
- Correlation awareness — see when positions across exchanges are effectively the same bet.
- Plain-language summaries — risk notes written to be understood quickly, not decoded.
How it fits together
From scattered accounts to a single working view
Connect your exchanges
Link the venues you actually trade on. Robuste Mrisvane reads account and position data to build the aggregated base layer everything else depends on.
Data is normalized and reconciled
Figures are structured into a consistent format so spot, margin, and derivatives positions can be compared side by side, not read in isolation.
AI-supported analysis runs continuously
As your data updates, the analysis layer re-checks exposure, concentration, and correlation, keeping the picture current rather than stale.
You review, decide, and act
Every insight is presented as context for your judgment. Robuste Mrisvane informs the decision; it doesn't make it for you.
Built around real workflows
Features that map to how you actually manage positions
Whether you're actively managing risk across several venues or checking in between other work, these capabilities are designed to reduce the manual effort of staying informed.
Cross-exchange alerts
Get notified when exposure, correlation, or concentration shifts beyond patterns you'd want to know about.
Portfolio summaries
Generate a readable snapshot of your aggregated positions for your own records or periodic review.
Read-only connections
Exchange links are configured for viewing account and position data — analysis without handing over trading control.
Venue-by-venue breakdown
See how the same asset class is positioned differently across exchanges, side by side.
Position timeline
Track how your aggregated exposure has changed over time, rather than relying on memory or scattered exports.
Single working dashboard
One screen replaces the routine of logging into multiple exchange dashboards to piece together a view.
Bring your positions into one view
Request access to see how Robuste Mrisvane aggregates your exchanges and surfaces AI-supported analysis in a single dashboard.