Srbija Invest runs continuous, automated risk management on supplemental income capital, monitoring exposure around the clock so contractors and freelancers do not have to watch markets between jobs.
Most gig economy earners cannot monitor price movements while driving, delivering, or completing a client brief. Volatility does not pause for a working day, and manual reaction to it is slow by definition.
Srbija Invest's engine processes market data continuously, at a volume and speed no manual review can match. It does not replace judgement — it applies consistent, rules-based analysis while you are occupied elsewhere.
Illustrative representation of relative data volume analysed per session. Not a performance guarantee.
Srbija Invest was designed around a single premise: supplemental income should not be exposed to the same unmanaged volatility as full-time trading capital. The platform's models are reviewed and retrained on a defined schedule, and every automated action is logged for later inspection.
Access is provided directly to individual users; there are no intermediary advisers involved in day-to-day execution. Users retain full visibility of parameters, positions, and system status at all times through the dashboard.
Each module handles a distinct function. Together they form a closed loop of forecasting, protection, and execution that runs without manual intervention unless you choose to intervene.
Statistical models process historical and live market data to estimate near-term price behaviour. Outputs are probabilistic, not deterministic, and are recalculated on a rolling basis.
When model confidence drops or volatility exceeds set thresholds, the engine adjusts exposure automatically. Hedging rules are pre-configured to your risk parameters, not applied uniformly.
Order routing is designed to minimise the delay between a model signal and its execution. Reduced latency limits slippage during periods of rapid price movement.
Every signal the engine acts on is visible in the same format an analyst would use internally. Nothing is abstracted away into a single "buy" or "sell" prompt.
| Instrument class | Signal strength | Volatility index | Risk score | Status |
|---|---|---|---|---|
| Broad index basket | 0.74 | 12.3 | 2.1 | Low |
| Sector rotation set | 0.58 | 19.7 | 4.6 | Moderate |
| Short-duration fixed income | 0.81 | 5.4 | 1.3 | Low |
| Event-driven allocation | 0.39 | 27.1 | 7.2 | High |
Sample data for illustration of dashboard structure. Live figures vary by account configuration and market conditions.
Onboarding is designed to be completed in a single sitting. You define the boundaries; the engine operates within them.
Connect your brokerage or exchange account through a secured, read-configurable API key. No login credentials are stored by the platform.
Define maximum drawdown, exposure limits, and position sizing. These parameters govern every automated action the engine can take.
The engine begins monitoring and executing within your set boundaries. You retain a Master Switch to pause all automated activity instantly, at any time.
These are the questions raised most often by contractors evaluating automated risk management for the first time.
Yes. The Master Switch pauses all automated activity immediately, and standard withdrawal processes at your connected brokerage remain unaffected by the platform. Srbija Invest does not hold custody of your funds.
The engine ingests live market pricing, order book depth, and historical volatility series from connected exchange and brokerage feeds. No non-public or client-specific data is used in model training.
The platform combines statistical time-series models with supervised learning classifiers for volatility regime detection. Models are retrained on a fixed schedule rather than continuously, to preserve stability and auditability.
No. Hedging reduces exposure to specific, modelled risk factors; it does not remove market risk. All investment carries the possibility of loss, and past model behaviour does not guarantee future results.
The platform is built for low-touch monitoring, which suits irregular schedules. However, risk parameters should reflect that supplemental income may be inconsistent month to month; conservative sizing is recommended for variable earners.
Complete the form to receive platform access details and a configuration checklist. A member of the onboarding team will follow up by email within two working days.
No obligation. You define your own risk parameters before any automated action is taken.
Capital at risk. The value of investments can fall as well as rise, and you may get back less than you invest. Srbija Invest provides automated risk-management tools and does not provide personal financial advice. Past performance of any model or strategy is not a reliable indicator of future results. Please review your circumstances or consult a qualified adviser before committing capital.