Jasná Hodnotina — analytical interface for tracking investment strategic models

Predictive analytics that works even when you're working on change

Jasná Hodnotina tracks the performance of proven AI investment strategy models and allows you to copy their decisions without having to analyze market data yourself.

The platform is designed for side earners who don't have the time or education in finance — decisions are based on data, not guesswork.

Manual data analysis takes up time that you simply don't have with side income

  • – Monitoring market indicators requires regular attention, which is difficult to allocate when working in shifts or with several orders.
  • – Uneducated financial decisions are based on gut feeling rather than verifiable data, which increases uncertainty.
  • – Different sources of information and inconsistent results lead to people delaying decisions or avoiding them altogether.

What this means in practice

Most people in the gig economy do not have regular work hours — income fluctuates according to shifts, orders or the season. Without a system that tracks data continuously, investment decisions are made in spurts and without consistency.

24/7 continuous monitoring of market data
0 necessary prior knowledge of finance

Copy-trading of strategic models as a way to equalize access to data for all

Instead of building your own analytical skills, Jasná Hodnotina allows you to copy the AI decisions of strategic models that demonstrate consistent data processing over time. You set the risk parameters, the model follows the market for you.

  • Predictive analysis instead of estimation

    The model processes historical and current data and estimates probable development scenarios — so the decision is based on numbers, not on intuition.

  • The time you have left

    Market monitoring takes place in the background. You devote yourself to the main work and return to the platform when it suits you.

  • Transparent risk parameters

    Before copying a strategic model, you see its historical volatility and set limits, not just the resulting return.

Data processing speed

Market signalsin real time
Reevaluation of the strategic modelcontinuously
Update of risk parametersautomatically
Your manual interventionoptional

How AI selects and adjusts investment decisions

The transparency of the process is the basis of trust. Below is the process by which the strategic models on the platform are selected, tested and continuously reviewed.

01

Data collection

The model processes publicly available market data and historical price ranges from verified sources.

02

Choosing a strategic model

Only models with a longer history of consistent performance, not short-term successful swings, advance to the copy bid.

03

Risk management

Each model has set limits on maximum loss and position size, which are continuously checked.

04

Continuous review

Model performance is continuously monitored; copying is interrupted if the specified parameters are deviated from.

Why risk management is not just a formality

Risk minimization is not a one-time setting, but part of every model decision cycle. The goal is not to avoid losses completely, but to keep them within pre-defined limits.

Where does the data come from?

The models work with publicly available market data and historical records. Resources are the same for all users of the platform, without priority access.


As gig workers, they include the platform in their financial routine

The following scenarios describe common ways that people with variable incomes approach allocating resources to copy strategic models.

Driver / courier

Regular, small amounts

A portion of the income from each change moves to copy a conservative strategic model with low volatility.

Emphasis on stability, not on quick returns.
Freelancer

Seasonal fluctuations in income

In months with higher income, it allocates more funds, in weaker months it just maintains copying without increasing.

Flexibility without the need for active intervention.
Concurrent orders

Diversification between models

It splits funds between two strategic models with different risk profiles to reduce reliance on a single approach.

Distribution of risk without the need for own analysis.

Jasná Hodnotina — a team and access to data analysis for ordinary users

A tool, not a black box

Jasná Hodnotina was created with the goal of making data analysis accessible to people who normally do not have the time or education for it. Instead of promises, we focus on what is verifiable: the history of strategic models, the set risk limits and the way data is processed.

Every model decision can be tracked and understood — the goal is for the user to know what's happening with their resources, not just watch the resulting number.

More about the platform

Frequently asked questions by people who have no experience with data analysis

Do I need investment experience to be able to use the platform?

Nope. Decisions about buying and selling are made by the strategic model, you only set parameters such as the amount of the deposit and the level of acceptable risk.

How exactly does copy-trading of strategic models work?

Copying means that your account automatically replicates the decisions of the selected strategic model in a proportion corresponding to your fund allocation. The model makes trade decisions based on data analysis, not manually.

What happens if the strategic model exceeds the set risk?

The system monitors loss limits and position sizes continuously. When the specified limits are exceeded, the copying of the given model will automatically stop until the situation returns to the defined range.

Can I change or cancel copying a strategic model?

Yes, the choice of model and the amount of allocated funds can be adjusted at any time in the account settings.

What data does the platform process and where does it come from?

The models work with publicly available market and historical data. The list of used resources is the same for all users.

Experience what data-driven decision making looks like

Demo access will show you the history of strategic models as well as their risk parameters without obligation and without the need to invest funds immediately.

Find out more about the benefits of the platform