Fortune Dice Club unified dashboard showing multi-exchange market data and analysis

Synthesise multi-exchange data into one decision-ready dashboard

Fortune Dice Club aggregates positions and pricing feeds from your connected exchanges, then applies predictive models to flag risk and opportunity in real time, wherever your work takes you.

Built for investors who manage positions across time zones and cannot monitor every exchange manually.

Core capability

One dashboard, several exchanges, a single source of truth

Most remote investors hold positions across more than one exchange, each with its own interface, latency, and reporting format. Fortune Dice Club pulls this data through authenticated API connections and normalises it into a common structure, so a position on one exchange can be compared directly against another.

The result is not another chart to check alongside your existing tools. It replaces the need to log into each exchange separately, and it keeps a running, timestamped record of exposure across your entire portfolio.

Exchange A — spot exposure£18,420
Exchange B — derivatives£6,150
Exchange C — staked assets£9,870
Aggregated risk scoreModerate
Last synchronised4 seconds ago
Decision-optimisation engine

Three components that support each recommendation

The engine does not issue instructions without context. Every output is traceable to a specific model and a specific data window, so you can calibrate how much weight to give it.

Risk assessment

Position-level risk scoring

Each holding is scored against volatility, liquidity, and correlation with the rest of your portfolio, updated as market conditions shift rather than on a fixed schedule.

Anomaly detection

Deviation flags in real time

Unusual volume, spread widening, or sudden order-book imbalance across a connected exchange triggers a flag, giving you a chance to review before it affects your position.

Predictive yield forecasts

Scenario-based projections

Forecasts are presented as ranges tied to stated assumptions, not single-point predictions, reflecting the uncertainty inherent in any market model.

Working while travelling

How the platform runs while you are between locations

Time zones and connectivity gaps are the practical constraint for a mobile investor. The workflow below is designed to keep functioning with minimal supervision.

Aggregation

Exchange APIs are polled continuously, and data is reconciled into a single portfolio view, regardless of which region you are connecting from.

Analysis

The decision-optimisation engine processes the aggregated data against your configured risk tolerance and flags items that require attention.

Execution

Pre-authorised rules can act on flagged items automatically within limits you set, while anything outside those limits is queued for your review.

Methodology and trust

Where the data comes from and how it is handled

We would rather explain the mechanics plainly than ask you to take performance on faith.

  • Data integrity Feeds are pulled directly from exchange APIs using read-authenticated connections. No third-party resale data is used, and discrepancies between feeds are logged rather than silently averaged.
  • Model scope Predictive models are trained on historical price and order-book data specific to each connected exchange. Outputs are recalibrated as new data arrives, and confidence intervals are shown alongside forecasts.
  • Security protocols API keys are stored with encryption at rest, scoped to read and, where explicitly enabled, limited trade permissions only. Withdrawal permissions are never requested.

Operating benchmarks

Data refresh interval1–5 seconds
Exchanges supportedGrowing list
API key permission levelRead / limited trade
Model recalibrationContinuous
Frequently asked

Questions we hear most from prospective users

If your question is not covered here, the team is reachable through the contact details in the footer.

Which exchanges can I connect through Fortune Dice Club?
Connections are established through each exchange's official API. The supported list is expanding, and integration requests are prioritised based on demand from active accounts.
How does automated risk management actually work?
You set thresholds — maximum exposure per asset, acceptable drawdown, and similar limits. The engine can act within those thresholds automatically; anything outside them is flagged for manual review rather than executed unilaterally.
What subscription tiers are available?
Tiers are structured around the number of connected exchanges and the depth of predictive analysis included. Current pricing and tier details are provided during onboarding, since they are reviewed periodically against infrastructure costs.
Who has access to my account data, and where is it stored?
Data sovereignty is treated as a default, not an add-on. Your portfolio data is stored on infrastructure located in the UK/EU, and access is restricted to systems required to run the analysis — not sold or shared with third parties.
Do I need to keep a device connected for the platform to run?
No. Aggregation and analysis run server-side, so the dashboard reflects the current state of your portfolio whenever you check it, even after periods offline.

Start with a free analysis of your current exposure

Connect one exchange in read-only mode and review the aggregated risk report before deciding whether to expand access. No commitment is required to see the output.