Berrak Verm produces predictable trading signals by processing large volumes of market data in real time. Your capital is not subject to maturity conditions; Withdrawal requests are processed without a waiting period.
Interface; It shows the signals produced by active models, risk scores and instant withdrawable balance on a single screen. Each recommendation is presented with the data source on which it is based.
The following three components describe the way the system processes data and the decision generation logic. No ingredient guarantees definitive results; The goal is to provide a layer of evaluation free of human error.
Model; It evaluates past price movements, transaction volume and macroeconomic indicators together. The output is presented as a range of possibilities, not an exact statement of direction. Thus, the decision is based on interpreted insight rather than raw data.
Position size and volatility thresholds are constantly monitored. When the threshold is exceeded, the system automatically rebalances the position weight. This process aims to reduce errors caused by emotional decision-making; does not eliminate the risk.
Model performance is backtested weekly. When a deviation is detected, the parameters are updated and the change log before the update is reported in the account panel. Strategy does not remain static, it adapts with data.
Your capital is not subject to a fixed maturity requirement on the platform. You can see how much of your investment amount is available for instant withdrawal from your account panel at any time.
This approach is especially important for individuals who work without a fixed office and manage their income from multiple sources: capital needs to be accessible when cash is needed.
There is no obligation to keep the investment amount on the platform for a certain period of time. The withdrawal request is processed after the relevant positions are converted into liquid assets.
The three stages of the process show what data passes through each recommendation passed to the user.
Stock market flows, macroeconomic data sets and trading volumes are continuously collected and standardized into a common format.
Standardized data passes through a multilayered set of models; Each layer evaluates a separate risk or opportunity dimension.
Model output is not raw data; It is presented as a concrete proposal package that includes a recommended position size and risk score.
Individual investors and small businesses working remotely use the platform in the following scenarios.
The investor is informed based on set volatility thresholds without having to constantly monitor the market.
Current asset allocation is re-evaluated based on risk tolerance; Each recommendation is presented with justification.
Demand fluctuations and cash flow projections for businesses are produced based on historical transaction data.
Berrak Verm was developed by a team working in data engineering and financial modeling. Platform; It aims for individual investors and small-scale businesses working remotely from Türkiye to make data-supported decisions without losing capital mobility.
Model outputs do not constitute binding investment advice; provides input into the decision process. The final decision belongs to the user in any case.
You may want to review how the platform works before creating an account. Early access requests are queued according to current model capacity and notification is sent via e-mail after registration.
Submit Early Access RequestEarly access request does not constitute an investment commitment. All model outputs are for informational purposes only and do not guarantee definitive results.