Mean Reversion Model
Identifies assets trading outside their recent statistical range and positions for a return towards that average, prioritising capital preservation over speed of return.
Gorven Kexal analyses market data continuously and executes pre-defined strategies on your behalf, so you can pursue a second income stream without spending your evenings studying charts or reading technical reports.
Gorven Kexal's models draw on the same categories of signal processing used by larger trading desks — price action, volatility clustering, and cross-asset correlation — then apply that reading consistently, without the fatigue or emotional bias that affects manual decision-making.
Rather than reacting to headlines, the system weighs volatility mitigation against expected return for each position, adjusting exposure as conditions change. The result is a process built for algorithmic consistency, not a single lucky call.
Multiple data streams are re-evaluated at set intervals, rather than relying on a single daily snapshot.
Position sizing adjusts automatically when market conditions become less predictable.
The same logic is applied every time, removing the variability introduced by mood or hesitation.
You remain in control of your capital throughout. Gorven Kexal handles the data-heavy work of monitoring markets and executing trades, while decisions about which strategy to run — and when to pause it — stay with you.
Link an existing brokerage account using trade-permissioned access. Your funds are never transferred to Gorven Kexal or held in a pooled account.
Review the logic behind each model and choose the one that matches your risk appetite, time horizon, and how actively you'd like to monitor it.
Once activated, trades are placed automatically according to the strategy's rules. You can review, pause, or stop execution at any time.
Each model is built around a distinct approach to reading the market, so you can choose based on how a strategy behaves rather than a simple difficulty rating.
Identifies assets trading outside their recent statistical range and positions for a return towards that average, prioritising capital preservation over speed of return.
Follows established directional moves across a diversified basket of instruments, rebalancing exposure as momentum strengthens or fades.
Targets shorter-term price dislocations in higher-volatility instruments, accepting wider drawdowns in exchange for a higher return ceiling.
We would rather show you how the models are built and tested than ask you to take performance on faith. The detail below reflects how each strategy is developed, checked, and monitored.
Models are trained on historical and real-time pricing data, order-book depth, and volatility indices across the instruments each strategy trades, filtering out low-liquidity noise before it reaches the decision layer.
Each strategy is tested against multiple historical periods, including periods of elevated volatility, before release. Models are re-validated on a rolling basis as new market data becomes available.
Position limits, maximum drawdown thresholds, and correlation checks operate independently of the strategy logic itself, acting as a safeguard against any single model behaving outside expected parameters.
Your funds remain in your own brokerage account at all times. Gorven Kexal connects using trade-permissioned access, which allows the system to place and manage trades but never to withdraw funds or move money out of your account.
Requirements vary by strategy and by your broker's own minimum trade sizes. Conservative models generally require less capital to diversify effectively than shorter-horizon, higher-volatility strategies.
Yes. Because your capital sits in your own brokerage account rather than with Gorven Kexal, withdrawals and liquidity are governed by your broker's standard terms, not by us. You can also pause or stop any active strategy at any time.
Reviewing a strategy takes a few minutes. Once activated, the day-to-day monitoring and execution are handled for you, leaving you free to check in on your own schedule rather than the market's.
Start Your First StrategyNo minimum commitment period. You can pause automated execution at any time from your account settings.