Predictive Analytics
By analyzing historical market patterns and current indicators together, we detect risk signals before shocks are actually reflected in assets. The goal is to give you time to respond.
Flow Lab's AI monitors domestic and international market changes 24 hours a day and delivers signals before the flow of assets is disrupted. Safeguarding your family's long-term assets with precision is the sole purpose of this platform.
Exchange rates, interest rates, and raw material prices move in real time. On the other hand, most household asset management often relies on quarterly checks or personal intuition. The time difference between them causes the short decline section to pass through.
Flow Labs 흐름연구소 FLOW LAB is designed to reduce these time lags. Even if people don't look at the market every day, AI observes the flow of assets and filters out abnormal signals. This is an approach that prioritizes not losing assets over the speed of increasing them.
You don't need to understand complex algorithms. Below is what this engine actually does and what you get from it.
By analyzing historical market patterns and current indicators together, we detect risk signals before shocks are actually reflected in assets. The goal is to give you time to respond.
The system constantly monitors asset data even when you are away for work or daily life. When abnormal fluctuations occur, a signal is immediately generated according to established standards.
Each family has different goals and levels of risk they can tolerate. The analysis results are reorganized according to the registered household goals and delivered as suggestions tailored to individual situations rather than general statistics.
If you don't know what AI is basing its judgment on, it's difficult to trust it. Flow Lab explains the data processing process step by step.
We collect public information, market indicators, and asset status registered by users. Materials coming from multiple sources are organized into standardized formats and passed on to the next stage.
The organized data is compared against the patterns of past downturns to calculate the type and amount of risk to which the current asset mix is exposed. Results are structured as numbers and grades.
Calculated risks are communicated through concise sentences and recommendations rather than complex graphs. However, it is always the user who decides whether to execute the asset. AI does not replace judgment.
Dashboards prioritize density and alignment of information over visual decoration. Risk levels are displayed in color-coded 'signal colors' so that busy heads of families can immediately identify any abnormalities even with a quick glance. Blue is a color that signals calmness and caution, so it is highlighted separately and catches the eye first.
It is designed to minimize the time it takes to check, so you don't have to go through multiple screens to find the information you need.
Registered asset information is not used for purposes other than analysis and is processed in an environment with limited access rights. We do not sell your data externally or arbitrarily share it with third parties.
Risk signals are calculated by comparing historical market declines with current real-time indicators. This is designed to reduce judgment errors made by humans who rush to sell or buy based on their emotions. The final execution decision is always up to you.
It is possible. Analysis results are presented in easy-to-understand sentences and ratings instead of jargon. If you have any questions, you can ask them directly through consultation.
Through consultation, we will first confirm the risk level of your current asset composition. You can receive your diagnosis results without signing up or making a payment.