Plateforme M6 continuously analyzes your financial flows and the markets using predictive models, in order to offer you allocations adapted to your risk profile and to protect your capital 24 hours a day.
Many managers of VSEs and SMEs keep excess cash out of prudence, due to lack of time or clear guidelines for investing it. This prudence has a silent cost: capital loses purchasing power and no strategy is put in place to make it grow.
The M6 Platform is based on an analysis engine that continuously processes large volumes of market data to adjust your recommendations, without constant manual intervention.
You define your investment horizon, your liquidity need and your risk tolerance. These parameters govern all the recommendations made subsequently.
Our models combine economic and market indicators to estimate the most likely scenarios and adjust the allocation accordingly.
The system continuously reassesses positions and triggers automatic adjustments as soon as a defined risk threshold is reached.
Three axes structure our approach: risk management, real-time visibility and reduction of management time.
Each position is governed by automatic protection rules which limit exposure in the event of market tension.
A dashboard summarizes the evolution of your invested cash, without requiring advanced financial skills.
Common adjustments are taken care of by the system, freeing up time to focus on your core business.
We favor clarity over apparent complexity. Each recommendation is accompanied by an explanation of the factors that motivated it.
The parameters used by our predictive models can be viewed from your customer area. You always know why an allocation was adjusted, rather than receiving an opaque decision.
This educational approach aims to strengthen your confidence over time, without requiring you to become an expert in financial markets.
Capital flows pass through partner establishments subject to current French and European financial regulations.
Your capital never remains housed directly on our servers: it is kept in regulated establishments, which separates the technology from the custody of the funds.
We document the risk management rules applied to your portfolio, so you can assess the consistency of decisions made on your behalf.
The most common questions from managers who plan to optimize their cash flow with Plateforme M6.
Liquidity depends on the allocation profile chosen. Availability parameters are defined with you upon implementation, to avoid any unexpected blockages in the event of a cash flow need.
No investment is completely risk-free. Our role is to limit exposure according to thresholds that you validate, and to automatically adjust positions when these thresholds are approached.
The implementation is done in stages, with dedicated support. No major changes to your current accounting tools are necessary to get started.
No. Recommendations are presented in simple terms, with explanations of the factors considered, without requiring prior financial training.
The capital is kept in regulated establishments separate from the technology itself, and your data is hosted according to the security standards in force in France.
Simulate an allocation scenario adapted to your situation, without commitment, and assess the relevance of the approach before any decision.
A question before we begin? Contact our team