Vrijboekaat translates large amounts of market data into concrete investment strategies. Our models continuously optimize portfolios and eliminate the noise that manual analysis inevitably creates.
Discover the strategiesFinancial markets now produce more data than one person can fathom in a lifetime: price movements, macro indicators, news flows and order books, all at the same time and in constant motion. Anyone who responds to this manually is by definition lagging behind the facts.
For families looking to build or protect their wealth, this is not an abstract problem. A mistimed decision, made under the pressure of a volatile day, can undo years of steady building. Manual analysis is therefore no longer sufficient as the sole foundation for long-term certainty.
Vrijboekaat approaches this differently: not by reacting faster than the market, but by calculating continuously, systematically and without emotion.
Market data is processed day and night, even when you are not looking.
Decisions follow from data, not from fear or enthusiasm.
Each strategy follows fixed, tested criteria rather than gut feeling.
Vrijboekaat is built around a simple premise: decisions that follow data perform more consistently over time than decisions made by instinct. We translate that principle into a platform that continuously calculates and compares AI strategies and makes them available for automatic follow-up.
Users are not given separate signals to interpret themselves, but access to strategies that have already been calculated for risk, diversification and historical stability. The computing power lies with the model, but control over the goal and risk appetite remains with the user.
Vrijboekaat automatically tracks the best performing AI strategies on the platform. You choose a profile, the model does the analysis and execution, consistently and without interruptions.
Models recognize patterns in historical and current market data and continuously weigh them against each other, instead of reacting to individual price movements.
Data-driven SecurityAs soon as a strategy adjusts a position, the platform implements this immediately. There is no delay due to manual control or opening hours.
24/7 MonitoringPositions are limited within predetermined risk frameworks, so that one strategy never determines a disproportionate part of the portfolio.
Act without emotionNot every AI model gets access to your portfolio. Each strategy first goes through a fixed assessment process before it becomes available for copy trading.
Strategies are continuously fed with market data from multiple sources, so that decisions are based on current information instead of outdated figures.
Only models with demonstrated risk-adjusted returns over a longer period are admitted to the platform. Underperforming strategies are excluded.
Approved strategies are automatically followed within the chosen profile, without intervention that could disrupt speed or consistency.
Not every family has the same goal in mind. The profiles below determine which strategies are followed for you.
Focused on strategies with higher growth potential within established risk limits, suitable for a longer investment horizon.
Strategies that prioritize stability and diversification, with the aim of preserving purchasing power rather than seeking maximum growth.
Gradual, consistent build-up aimed at goals such as retirement or transfer to the next generation.
Data traffic between your environment and the platform is encrypted. Systems are kept separate to limit risks of data mixing.
Personal and wallet data are not shared with third parties for commercial purposes and are processed in accordance with the GDPR.
Questions about operation, risks or eligibility criteria of strategies are answered on our FAQ page.
View frequently asked questions →Start with an analysis of your current situation and receive an overview of strategy profiles that match your goal and risk appetite.