Éparvéline, predictive analysis and copy-trading platform for student savings

Artificial intelligence at the service of your student savings

Éparvéline simplifies investing in digital assets by replicating the strategies of the most successful artificial intelligence models. You access a structured method, without having to master technical market analysis.

Integrated risk management Accessible from a small budget Transparent analytics

The observation

Markets evolve quickly, your student schedule much less

The prices of digital assets fluctuate continuously, often on bases that are not rational in the short term. Understanding these movements requires time and constant monitoring, two rare resources during studies.

Our predictive models constantly process millions of data points from markets and order flows. They isolate meaningful signals from ambient noise and offer a more relaxed entry point into the digital asset economy, without requiring you to be constantly monitoring.

The method

A copy-trading mechanism explained step by step

Every decision made on your behalf is based on an identifiable process, which we detail below rather than presenting it as a black box.

1

Real-time predictive analytics

The artificial intelligence models we track continuously process market data, trading volumes and volatility indicators to identify recurring patterns.

2

Optimization of the risk-return ratio

Each signal is weighted according to its level of uncertainty. Positions deemed too exposed are reduced or removed before any execution, in accordance with the chosen risk parameters.

3

Automatic replication to your wallet

The adjustments validated by the model are reproduced proportionally on your portfolio, according to the amount you have defined, without manual intervention on your part.

Features

Tools designed to keep control of your decisions

Control

Personalized risk management

You define maximum loss thresholds (stop-loss) adapted to your risk tolerance. The model respects these limits before any order replication.

Clarity

Transparent analytics

Each transaction reproduced on your account is accompanied by a summary of the factors that triggered it, so that you understand the reasoning followed.

Accessibility

A respected student budget

The opening of an account and the first payments are calibrated for modest amounts, in order to test the method without committing significant savings.

Éparvéline team working on data analysis and predictive models

Our approach

A management discipline, not a promise of quick profit

Éparvéline was designed for people new to digital assets without the time to follow the markets on a daily basis. Our role is to structure the information, not to oversimplify it.

We document our methodological choices and detail how the models we follow work, so that each user understands what motivates a decision before validating it.

Learn more about our method

Model logic

Priority to capital preservation, not speculation

The strategies we replicate are selected for their risk management discipline, ahead of their raw performance. A high return obtained at the cost of excessive exposure is excluded from our selection.

  • The models are back-tested over several market cycles, including phases of marked decline, in order to evaluate their behavior in unfavorable conditions.
  • Diversification between several assets and several strategies limits dependence on a single market scenario.
  • No future return is guaranteed: a strategy's past performance is no indication of its future results.

Frequently asked questions

What students ask us most often

Do my funds remain accessible at all times?

Yes. Assets held via Éparvéline remain liquid: you can request a partial or total withdrawal from your personal space. Processing time depends on market conditions at the time of the request, but no contractual lock-in period is imposed.

How does the model react in the event of a sharp market decline?

The strategies followed include rules for reducing exposure when volatility exceeds certain thresholds. This does not remove the risk of loss, but aims to limit the extent of movements replicated on your portfolio during the most unstable phases.

How much time should I actually devote to it?

Order replication is automatic once your risk parameters are defined. A monthly follow-up of a few minutes is generally sufficient to verify that the parameters still correspond to your situation.

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Ready to optimize your strategy?

Open an account to access the strategies followed by Éparvéline and set your own risk parameters, at your own pace.