HARPIAN
Intelligence Terminal
Family Office Edition
New session? Start Presentation →
HARPIAN
Portfolio Engineering Terminal
Dashboard
LIVE
Jim AI
Presentation →
INDICES
S&P 5005,241.53 +0.82%
NASDAQ18,382.40 +1.21%
DOW38,904.11 +0.34%
IBOV126,480 −0.54%
FTSE8,142.15 +0.28%
DAX17,983.20 +0.41%
NIKKEI38,236.07 +0.67%
VIX
10Y UST4.72% +0.07
2Y UST4.98% +0.04
COMMODITIES
GOLD$2,341.20 +0.62%
SILVER$27.84 +1.14%
WTI OIL$82.10 +1.42%
BRENT$86.44 +1.21%
NAT GAS$1.74 −0.57%
COPPER$4.21 +0.48%
WHEAT$546.25 −0.31%
USD/BRL
EUR/USD1.0741 −0.22%
BTC$62,840 −1.30%
STOCKS
NVDA$118.64 +3.24%
MSFT$412.18 +1.08%
AAPL$189.98 −0.21%
META$474.92 +1.84%
GOOGL$164.32 +0.91%
AMZN$185.07 +1.13%
TSLA$162.48 +2.11%
JPM$198.41 +0.62%
XOM$116.07 +0.38%
TLT$87.10 −1.87%
GLD$217.50 +0.90%
SPY$512.40 +0.31%
QQQ$438.22 +0.84%
IWM$201.14 −0.71%
HARPIAN
HPC11+7.5% YTD · +0.38% today
HPC22+24.3% YTD · +0.91% today
INDICES
S&P 5005,241.53 +0.82%
NASDAQ18,382.40 +1.21%
DOW38,904.11 +0.34%
IBOV126,480 −0.54%
FTSE8,142.15 +0.28%
DAX17,983.20 +0.41%
NIKKEI38,236.07 +0.67%
VIX
10Y UST4.72% +0.07
2Y UST4.98% +0.04
COMMODITIES
GOLD$2,341.20 +0.62%
SILVER$27.84 +1.14%
WTI OIL$82.10 +1.42%
BRENT$86.44 +1.21%
NAT GAS$1.74 −0.57%
COPPER$4.21 +0.48%
WHEAT$546.25 −0.31%
USD/BRL
EUR/USD1.0741 −0.22%
BTC$62,840 −1.30%
STOCKS
NVDA$118.64 +3.24%
MSFT$412.18 +1.08%
AAPL$189.98 −0.21%
META$474.92 +1.84%
GOOGL$164.32 +0.91%
AMZN$185.07 +1.13%
TSLA$162.48 +2.11%
JPM$198.41 +0.62%
XOM$116.07 +0.38%
TLT$87.10 −1.87%
GLD$217.50 +0.90%
SPY$512.40 +0.31%
QQQ$438.22 +0.84%
IWM$201.14 −0.71%
HARPIAN
HPC11+7.5% YTD · +0.38% today
HPC22+24.3% YTD · +0.91% today
JIM · Command Center
1 Critical · 2 Actions · 1 Opportunity
⚠ Portfolio Alert Vera Hollanda misaligned — RN 78 vs mandate 62 · DD risk −22.1%
→ Suggested Action Simulate reduction in long-duration bonds · Increase Technology + Energy
📅 Macro Event CPI tomorrow 08:30 ET — avoid new duration exposure before release
⚡ Momentum Technology leads at 82 · Bonds weakest at 35 · Gold confirming bull
Portfolio Overview
AUM Total
R$25.4M
Clients
5 active
Aligned AUM
R$24.5M
Misaligned
R$890K
Aggregate Allocation
HPC11R$8.2M · 32%
HPC22R$4.2M · 17%
OtherR$12.1M · 47%
CashR$890K · 4%
75% aligned
1 critical
Critical Alerts 3
Critical
Vera Hollanda — RN 78 vs 62
Impact: DD −22.1% · Return −4.2%
Why: 100% non-HARPIAN · mandate breach +16pts
Watch
Silveira FO — RN Gap +6
0% HPC · Multi-asset without protection
Info
CPI tomorrow — 08:30 ET
High impact · Avoid new duration entries
News That Matter
Loading live feed…
Opportunity Engine AlphaDroid
Top Actionable Opportunities
01
XLK — Technology
Momentum strengthening · AlphaDroid confirmed
82
02
XLE — Energy
Breakout confirmed · OPEC supply cut
61
03
GLD — Gold
Hedge validation active · Inflation + macro
78
Avoid Now
TLT 35 ↓ XLRE 22 ↓ XLU 38 ↓
Execution Pipeline
01
Diagnosis
5 clients mapped · 2 pending
Done
02
HPC Simulation
Hollanda pending · Silveira scheduled
Active
03
Allocation
Awaiting Vera approval
Pending
04
Lynx Execution
Monteiro · Cavalcante active
Idle
Market Pulse
Market Trend
+22
Cautious Bull
LEADER
Technology XLK 82
WEAKEST
Bonds / TLT 35
AlphaDroid SignalModerate Risk-On
StormGuardInactive · Growth
10Y Treasury4.72% ↑ Rising
VIX22.4 · Caution
USD/BRL5.14 · Pressure
Causal Engine · Harpian Research CAUTIOUS EXPANSION Market Trend +22 · VIX 22.4 · Updated 14:47
Current Regime
Cautious
Expansion
Score +22 · Cautious Bull
VIX 22.4 elevated → risk present
Fed hawkish → pressure on duration
HY spreads stable → credit healthy
Yield curve flat → structural warning
Momentum positive → sector rotation active
Growth data resilient → expansion continues
Conclusion
Growth with controlled risk
Action
Rotate into momentum sectors
Macro Drivers
FactorStateImpact
FedHawkishBonds under pressure
Rates (10Y)4.72% RisingDuration risk elevated
InflationPersistentNo cuts expected 2026
Yield CurveFlatStructural warning
USDStrengtheningEM pressure · BRL 5.14
HY SpreadsStableRisk appetite intact
VIX22.4 ElevatedHedging cost rising
News Flow High signal only
Bear
US 10Y hits 4.72% — highest since Nov 2023
→ Long-duration assets repricing 8–12%
Event
CPI Report tomorrow 08:30 ET
→ Volatility expected · hold new duration entries
Bull
Nvidia beats estimates by 38%
→ XLK momentum confirmed · AlphaDroid signal
Bear
Fed minutes: no cut in 2026, hawkish bias
→ Fixed income risk · Vera Hollanda exposure critical
Positioning
Institutional Flow
Adding → Tech · Energy · Gold · Industrials
Reducing → Long Duration · China EQ · Utilities
Rotation → Value → Growth in Financials
Smart Money
Crypto Whales → Accumulating BTC · Risk-On signal
Insiders → Net selling Tech · NVDA · MSFT · caution
13F Leaders
NVDA +18% MSFT +12% GLD +8% XOM +9% JPM +7%
Do Not Touch
TLT Long Duration ETF Score 35 · Repricing risk
XLRE Real Estate Score 22 · Rate sensitivity
XLU Utilities Score 38 · Duration analog
FXI China Equities Geopolitical risk · tariffs
HYG High Yield Bonds Spread compression risk
Opportunities
01
XLK — Technology 82
Momentum strengthening · AlphaDroid confirmed · NVDA catalyst
Simulate →
02
GLD — Gold 78
Inflation hedge · USD pressure · Institutional adding
Simulate →
03
XLE — Energy 61
Breakout confirmed · OPEC supply cut · momentum
Simulate →
Benchmark / Competitor
StrategyYTD1Y CAGRvs S&P
HPC22+24.3%+119.5%+109.7pp
HPC11+7.5%+34.7%+24.9pp
S&P 500+4.1%+9.8%
Nasdaq+2.7%+7.3%-1.4pp
Gold+8.9%+16.2%+4.8pp
BTC+31.5%+52.1%+27.4pp
Stock Analysis
EOD intelligence layer
Active InvestorElite
EOD scan layer for fast lookup. Signals are informational and do not represent portfolio allocation, trading activity, or investment advice.
Institutional Management
Clients Overview
Diagnosis → Simulation → Allocation · Click any client to open the full profile
AUM Total
R$25.4M
▲ +12.3%
Aligned
9 / 12
75%
Under Review
2
Attention
Critical
1
Immediate action
Active Portfolios · Click to open Client Profile
ClientAUMRN ClientRN PortfolioGAPCurrent StrategyHPC AllocatedRet. 12MStatus
Monteiro FamilyR$4.2M67670HPC22100% HPC22+119.5%
Dr. Carlos VianaR$1.8M52520HPC11100% HPC11+34.7%
Grupo Silveira FOR$12.1M4450+6Multi-asset0% HPC+9.8%
Vera HollandaR$890K6278+16 ⚠High Risk0% HPC-4.2%
Instituto CavalcanteR$6.4M38380HPC11100% HPC11+34.7%
Portfolio Misalignment Detected
Risk Number: -- · Target: -- · Gap: --
Vera Hollanda
FO Mandate: RN 45–62
AUM
R$890K
Client RN
62
RN Portfolio
78
Risk GAP
+16
Total Allocated
92%
% Available
8%
✗ Misaligned
Presentation →
Current Portfolio · Allocation
Ret. 12M
-4.2%
Volatility
19.4%
Max Drawdown
-22.1%
Sharpe Ratio
0.31
Risk Gap Analysis
Target RN
62
vs
Current RN
78
Compounding Gap · 20 Years
R$47.5M
News Impacting This Portfolio
HPC Comparison · Client vs Market vs Strategies
MetricClientHPC11HPC22SPY
CAGR (since inception)-4.2%
Volatility19.4%
Max DD-22.1%
Sharpe0.31
Risk Number783864
StormGuardNo protectionNone
HPC Allocation Control
HPC110%
HPC220%
Remaining Available0%
HPC allocation can only use available portfolio cash.
Suggested Action
Strategies · Market Intelligence
Sector Momentum
Relative strength across sectors, ETFs, commodities and fixed income · Updated post-market daily
Relative strength and momentum data only · Does not represent portfolio positions, allocation or trading activity · For informational purposes only
Strategies · HARPIAN Engine
RPM Momentum Engine
Relative Position & Momentum · All HARPIAN strategies with daily strength and direction readings
Active Strategies
4
HPC11, HPC22 + 2 watching
Avg. Score
54
Cautious expansion
Avoid Now
3
Bear / Weak momentum
All Strategies · Score + Direction + Status
Clients
Client Onboarding
5 steps for complete diagnostic and optional behavioral context
1
Basic Data
2
Questionnaire
3
Upload Portfolio
4
Diagnostic
5
Behavioral Context
Step 1 · Basic Data
Full Name
Approximate AUM (R$)
General Profile
Investment Horizon
Behavioral Context Layer · Optional
Behavioral Context Layer (Optional)
This step helps JIM better understand how the client mentally organizes capital, objectives and usage expectations.
In many cases, clients internally separate their money into different purposes (such as retirement, safety, future expenses or legacy), but this is not formally reflected in the portfolio structure.

Capturing this information improves:
• Portfolio interpretation
• Alignment analysis
• Advisor-client communication
This layer does not change the portfolio. It improves how it is understood.
Clients
Portfolio Upload
CSV · Excel · PDF — automatic risk diagnostic after upload
File Upload
📂
Drop files here
or click to select
CSVExcelPDF
Supported Formats · Future Integration
CSV
Comma Separated
ticker, weight, country, currency
Excel
Microsoft Excel .xlsx
Multi-sheet · Flexible headers
PDF
PDF Statement
Automatic OCR · Position extraction
Future integration: BTG · XP · Itaú Private · Daily automatic update via API
Strategies · AlphaDroid Intelligence
HPC Strategy Intelligence
Institutional comparative analysis · StormGuard integrated · AlphaDroid v4.2
● StormGuard: — AlphaDroid v4.2
Strategy
Benchmark
Period
Overlay
Cumulative Growth · Log Scale · Base R$100K
US$100K → calculando...
HPC11
HPC22
S&P 500
Max Drawdown Comparison
Risk Profile · Granular Statistics
Strategy Anatomy · Asset Allocation
Strategy Sleeves (11)
Monthly Relative Performance vs Benchmark · 2009–2026
Green = outperformed · Red = underperformed · Each cell = 1 month
Over
Under
Institutional Insight · AlphaDroid AI
"HPC11 protects the path.
HPC22 accelerates the destination."
Export & Reports
Analytics
Alerts
3 active alerts · Continuous monitoring system
🔴 Critical
Vera Hollanda — RN Outside Mandate
Today · 08:14
Diagnosis
RN 78 vs mandate 62. Deviation +16 points. Critical exposure.
Impact
Potential DD -22.1% in a 2022-like event. R$143K extra risk.
Action
Migrate 35% HPC11 + 30% HPC22. Reduces RN→58. Aligns to mandate.
🟡 Attention
Grupo Silveira — DD Approaching Limit
Yesterday · 16:30
Diagnosis
DD -12.4% vs limit -15%. Deterioration 0.4%/week.
Impact
Limit breached in ~3 weeks if trend continues.
Action
Partial trailing stop + FX hedge + HPC11 migration.
🔵 Info
Market Trends — WATCH Activated
2d ago · 11:22
Diagnosis
Market Trend +22. VIX crossed 22. Preventive StormGuard WATCH.
Impact
RN > 55: R$5.1M in increased exposure.
Action
HPC11/HPC22 have integrated StormGuard protection.
Analytics
Compounding Gap
The hidden cost of suboptimal portfolios — amplified over time
Client Base · AUM R$25.4M · 20 Years
YOU ARE COSTING YOUR CLIENT R$560M
Projected difference: current portfolio vs HPC11/HPC22 over 20 years of compound interest
In 1 Year
CurrentR$27.8M
With HPCR$30.2M
+R$2.4M
In 5 Years
CurrentR$40.1M
With HPCR$52.8M
+R$12.7M
In 10 Years
CurrentR$63.2M
With HPCR$109.8M
+R$46.6M
In 20 Years
CurrentR$157M
With HPCR$717M
+R$560M
0100M300M700MToday5Y10Y15Y20Y+R$560MWith HPCCurrent
HPC vs Top US Funds
Growth of $100,000 | CAGR based | Compounded returns
Base 100k / CAGR / Max Drawdown
Performance line chart - base 100
Top US Funds / ETFs
Input Capital
Compounded by selected period CAGR
Strategy Performance
Select up to 5 strategies to compare against HPC and S&P 500
Temporal comparison - S&P fixed, HPC fixed, selected strategies variable
Strategy List0 / 5
Risk vs Performance
Institutional efficiency matrix — who delivers more return per unit of risk
Risk Number (X axis) vs Return CAGR (Y axis) — upper-left = maximum efficiency
HPC 11 HPC 22 S&P 500 Client Portfolio US 30Y Treasury ETF Mutual Fund Hedge Fund
Funds Database 0 selected
Efficiency Analysis
Select a fund to compare against HPC 11 and HPC 22.
MetricHPC 11HPC 22S&P 500
Client Gap Analysis
How much capital the client leaves on the table by not using HPC11 / HPC22
Family Office Revenue
System
Integrations
API-first Architecture · Execution via Lynx / ETP
Lynx Execution
Institutional orders · HPC11/HPC22 · T+1
Active
POST /api/lynx/order
📡
Market Data
Bloomberg · Reuters · Real-time feeds
Live
WS /stream/market
🏢
CRM Integration
Salesforce / HubSpot
Demo
🏦
Custodian Systems
BTG · XP · Itaú Private
Demo
Execution Flow · Lynx Demo
👤
FO Advisor
🖥
Terminal
Lynx
// Webhook payload:
POST https://api.lynx.harpian.io/v1/alloc
client_id: "vera_hollanda"
hpc11_pct: 35 · hpc22_pct: 30
status: REQUEST_SENT
⚠ Demo Mode — no real execution. Institutional flow simulation only.
System
Settings / FO Profile
Institutional settings · Mandate · Limits · Integrated systems
Institutional Profile
Name
AUM Total
Clients
RegulatoryCVM · ANBIMA
Risk Limits · FO Mandate
Maximum Risk NumberRN 70
Max Drawdown-20%
Minimum Target ReturnCDI +8%
Intelligence
Social Media Radar
Real-time monitoring · Key accounts · Market-moving signals
Filter:
— posts
Behavioral Context
Mental Capital Organization