Miramagna analysis interface for AI-supported evaluation of market data

AI-powered data analysis for digital assets

Automated precision instead of emotional decisions

Miramagna combines rules-based dollar-cost averaging with AI-powered entry signals. The system evaluates market data in real time, reducing the impact of impulsive buying and selling decisions on your portfolio.

Behavior versus system

Emotional action versus data-driven logic

Private investors often buy digital assets when prices have already risen significantly and sell during periods of increased uncertainty. This pattern is well documented and repeats itself regardless of the market cycle. Miramagna replaces these decisions with a fixed set of rules that works independently of news and market sentiment.

Manual trading

  • Purchasing decisions under time pressure
  • Additional purchases when prices fall in the hope of recovery
  • Selling in panic during short-term corrections
  • Inconsistent position sizes without a solid plan

Systematic approach

  • Fixed investment intervals based on dollar-cost averaging
  • Entry timing is fine-tuned using volatility and trend indicators
  • Position sizes follow predefined risk parameters
  • No adjustment of strategy due to short-term news situation

Schematic representation: Distribution of a planned investment over several time windows

Time window 1 Time window 7

Highlighted fields mark times at which the volatility filters allow an increased investment share.

Miramagna analysis team evaluating portfolio strategies

About Miramagna

A systematic approach to digital asset management

Miramagna is an analytics platform that combines artificial intelligence with established risk management principles. Instead of predicting individual price movements, the system continuously assesses current market conditions and adjusts the execution of existing savings plans accordingly.

The aim is to preserve capital while simultaneously participating in long-term market movements. The platform is aimed at investors who are looking for structured access to digital assets without having to monitor price trends on a daily basis.

Methodology

From data analysis to an optimized entry point

The process consists of three consecutive steps that are completed before each execution.

1

Data aggregation

The system records price data, trading volumes and liquidity indicators from multiple trading venues in real time. This database forms the basis for all further calculations.

2

Predictive modeling

A volatility filter evaluates whether current price movements represent short-term noise or a more stable trend. This results in the assessment of the time window for a purchase.

3

Optimized execution

Instead of buying on fixed calendar days, Miramagna distributes the planned investment amount across several optimized entry points within the intended interval.

Risk management

Capital preservation as the starting point for every decision

Before considering additional returns, the system checks the conditions under which a position can be safely held and reduced again.

Diversification logic

Positions are spread across multiple assets and time frames to reduce reliance on a single purchase point in time.

Drawdown protection

When market volatility increases significantly, the system reduces the investment speed in order to limit the impact of short-term price drops on the average price.

Liquidity focus

Positions are only built in assets with sufficient market depth so that they remain tradable even in volatile phases.

Transparency

Complete insight into methodology and costs

Every investor receives access to a report that clearly presents individual executions, the underlying signals and the current portfolio distribution. The logic behind every decision remains visible instead of hiding behind a closed interface.

  • Traceable execution logs for each transaction
  • Historical overview of all entry points
  • Regular reports on portfolio development

No hidden fees

The fee structure will be fully disclosed before the contract begins. There is no performance-related additional remuneration that has not been shown in advance and no costs that only become visible in execution protocols.

For Miramagna, complete transparency means that the methodology itself is the proof - not individual success reports.

Frequently asked questions

Answers for the careful investor

How safe are my assets at Miramagna?

Miramagna provides the analysis and execution logic. The assets are held in custody via the regulated trading platform you have chosen. You remain in control of access to your account at all times.

Who custody the digital assets?

The custody is not with Miramagna itself, but with the connected exchange or the custodian of your choice. Miramagna only receives permission to execute buy and sell orders within the framework of the defined strategy.

Does artificial intelligence make autonomous investment decisions?

No. The system optimizes the timing and size of individual executions within a framework defined by you. It does not replace any fundamental investment decision and does not make any forecasts that lie outside this framework.

What investment horizon is the approach designed for?

The methodology is designed for medium to long-term investment horizons, usually several years. Short-term trading or speculation on individual price movements is not part of the strategy.

Start your data-driven strategy today.

Miramagna sets up a structured savings plan with optimized entry points, tailored to your desired investment amount and risk profile. The setup is completed in just a few steps and you get insight into the underlying methodology right from the start.

If you have any questions about the technical implementation, you can find further details at Frequently asked questions.

Non-binding. We will get back to you within two working days.