Autonomous market operations

AI trading infrastructure built for continuous execution.

Live allocation, monitoring, and reporting for Qvi Markets accounts — organized around speed, market depth, and real-time execution.

Strategy cockpit Global Execution Mesh
Connecting...
1.000.750.500.25
BTC2.4ms
ETH3.1ms
XRP2.8ms
Order pair BTC / 15m spread capture +0.06
Capital route Agent 03 allocation $10K
LIVE MARKETUSDT pairs
BTC------
ETH------
XRP------
SOL------
BNB------
01 / Strategy

A trade is not a card. It is a sequence.

Qvi Markets turns a short-lived spread into a repeatable execution cycle. Orders are staged, filled, settled, and routed back into the next opportunity.

01

Scan the book

Agents watch multiple market/timeframe combinations and score available spread windows.

continuous discovery
02

Stage paired orders

Bid and ask orders are prepared together so the engine can react without manual delay.

paired execution
03

Capture the window

When conditions match, the engine completes the execution inside the available latency window.

2–5ms target route
04

Recycle capital

Settlement and reporting feed the next cycle, keeping the operating loop continuously available.

24/7 cycle
02 / Infrastructure

The execution window closes before a manual setup arrives.

Typical opportunity window 10–50 ms
LATENCY RACElower is better
Qvi Markets Agent
2–5ms
Datacenter VPS
40–80ms
Home PC
150–300ms
Manual Trading
1–3s
10ms50ms
QVI ORCHESTRATOR bare-metal control plane
01Agent2.0ms
02Agent2.5ms
03Agent3.0ms
OBOrder BookYES / NO depth
CO-LOCATED ROUTESBARE-METAL AGENTSORDER-BOOK DEPTHCONTROL PLANEREAL-TIME REPORTING
03 / Markets

Different markets. One operating surface.

Three core crypto pools with multiple short timeframes and continuously monitored execution conditions.

Core market

Ethereum

ETH / USD
Daily range0.25–0.9%
Timeframes5m · 15m · 1h
Momentum market

XRP

XRP / USD
Daily range0.4–1.3%
ProfileMedium volatility
Coverage model

Timeframe routing follows available depth.

The engine does not force the same behavior into every market. Routing can move between supported pools as execution conditions change.

Short window5m / 15m
Extended window1h
04 / Copy Trading Signals

Read the signal before you follow the trade.

A copy-trading signal is a structured trade instruction. It shows the market, direction, entry range, exit targets, protective stop, and current status so the user can understand what is being followed before execution.

SIGNAL ACTIVE Example signal · BTC / USDT
LONG
MarketBTC / USDT
ENTRY ZONE 65,420 65,560 Wait for price to enter the defined range
TAKE PROFIT 0166,080First target
TAKE PROFIT 0266,720Extended target
STOP LOSS64,880Protective exit
RISK PROFILEMediumPosition size is account-defined
01Generated 02Entry window 03Following 04Closed
Monitoring market conditions Illustrative example — not a live recommendation
01
DIRECTION

LONG or SHORT

Shows whether the signal is designed to follow an upward or downward market move.

02
ENTRY ZONE

Where the signal becomes valid

The entry is a price range, not a guarantee that an order will fill at one exact price.

03
TAKE PROFIT

Planned exit targets

One or more target levels can be used to define where profits may be realized.

04
STOP LOSS

Defined risk boundary

The protective stop identifies the price level where the trade thesis is considered invalid.

05
STATUS

Know the signal stage

Signals can move through waiting, active, following, target reached, stopped, expired, or closed states.

06
ACCOUNT CONTROL

You control the allocation

Following a signal does not remove market risk. Allocation and risk limits should remain appropriate for the account.

FOLLOW FLOWSignal → Review → Follow → Track
01ReceiveA new signal appears with market and status.
02ReviewCheck entry, targets, stop and signal validity.
03FollowApply the account allocation configured for the trade.
04TrackMonitor updates until the signal closes or expires.

Risk notice: A trading signal is market information, not a guaranteed outcome. Price gaps, volatility, liquidity, slippage, and execution delays can cause actual results to differ from the displayed levels.

05 / Capacity

Capacity is a liquidity control, not a marketing number.

Protocol capacity is limited by available market depth. The goal is to avoid forcing more capital into a route than current liquidity can efficiently absorb.

Liquidity scales with market depth Capacity changes can be announced in dashboard Soft warning near high utilization
View allocation flow
UTILIZATION0.80%of protocol limit
Under management$120K
Available$14.88M
Protocol cap$15M
06 / Launch

From wallet to dashboard in four clear moves.

The web platform is designed as a short operating path: fund, allocate, monitor, and request withdrawal from one account surface.

01

Deposit

Fund with supported USDC / USDT rails.

02

Invest

Allocate available balance into the trading pool.

03

Monitor

Review real-time activity, statistics, and reporting.

04

Withdraw

Submit a withdrawal request from the same interface.

app.qvimarkets.comsecure
Trading PoolGlobal Markets Alpha
Pool Balance$8,420.12+ $42.10 today
WEEK+$284
MONTH+$1.2K
WALLET$12.84K
Recent ActivityView all
Settle pairBTC · 15m+$9.53
Settle pairETH · 5m+$4.71
DepositUSDT+$500
07 / Architecture

One control plane, multiple execution agents.

The system separates the user interface, control logic, agent layer, and order-book connectivity into distinct operating zones.

01WEB PLATFORMUser Interface

Launch, monitor, allocate, withdraw

02CONTROL PLANEOrchestrator

Deploy, route, record, coordinate

03AAGENT #1$10K2.1ms
03BAGENT #2$10K3.4ms
03CAGENT #3$10K2.8ms
04MARKET LAYEROrder Books

BTC · ETH · XRP · supported liquidity

01User launches strategy from web platform
02Control plane deploys and assigns capital
03Agent connects to market routes
04Paired orders are staged and executed
05Execution is recorded
06Result appears in dashboard
08 / Comparison

The difference is not one feature. It is the operating stack.

DIY / HOME SETUPManual stack
Latency150–300ms
InfrastructureHome PC / VPS
StrategyManual scripts
Capital allocationFragmented
MonitoringManual
Infra cost~$500 / mo
VS

Execution windows may last only 10–50ms.

QVI MARKETSCoordinated stack
Latency2–5ms
InfrastructureBare-metal routes
StrategyCoordinated AI agents
Capital allocationPool-managed
MonitoringReal-time dashboard
Infra costIncluded
09 / Team

Global specialists behind the market infrastructure.

A multidisciplinary global team spanning investment, operating, capital solutions, fundraising and value-creation functions across major financial centers.

View full team
Issam Abedin

Issam Abedin

Managing Director

Managing Directors, Investment Staff
Saurabh Agarwal

Saurabh Agarwal

Managing Director, Head of Southeast Asia Private Equity

Managing Directors, Investment Staff
Jonas Agesand

Jonas Agesand

Managing Director

Managing Directors, Fundraising and Investor Relations
José Arredondo

José Arredondo

Managing Director

Managing Directors, Investment Staff
Matt Bashaw

Matt Bashaw

Managing Director

Managing Directors, Operating Team
Lee Becker

Lee Becker

Managing Director

Managing Directors, Investment Staff
Cem Behmoaram

Cem Behmoaram

Managing Director

Investment Staff
Roy Ben-Dor

Roy Ben-Dor

Managing Director

Investment Staff
458Team members
18Geographies
5Core functions
Explore all people
10 / FAQ

Questions before you enter the platform.

Core explanations about strategy, infrastructure, markets, copy-trading signals, capacity, and withdrawals.

Open platform

The AI agent can stage paired orders on opposing sides of the same market. When configured conditions are met, execution is recorded and reporting is updated so the result can be reviewed.

The relevant execution window may last 10–50ms. A home setup can carry materially higher latency, which means the opportunity can disappear before the order reaches the book.

BTC, ETH, XRP, forex, and index views can be presented depending on connected liquidity and account configuration.

A copy-trading signal is a structured market instruction that can include direction, an entry zone, take-profit targets, a stop-loss level, validity, and status. It helps users understand the trade setup before deciding to follow it; it does not guarantee a profitable result.

Capacity is tied to available liquidity in the markets where agents operate. Pushing capital beyond efficient market depth can reduce execution efficiency.

Users can monitor balances and submit withdrawal requests through the web platform.

No. Any stated ranges are indicative and can change with market conditions. Digital-market activity involves risk and historical results do not guarantee future performance.

READY WHEN YOU ARE

Move from overview to live account operations.

Real-time dashboard, supported USDC/USDT funding, allocation controls, and withdrawal requests in one interface.

AVAILABLE CAPACITY$14.88Mof $15M
Launch App