Revenue, EBIT, EBITDA, net income, P/E, dividend history and many more financial metrics from the leading companies in Europe, North America and Asia-Pacific. Structured data, ready to analyse.
Financial data of institutional quality at an accessible price.
We are Robexia. Over 25 years structuring market data —fundamental, technical, consensus and liquidity and market risks— for banks, brokers and investment platforms. Coverage of the leading companies across Europe, North America and Asia-Pacific, ready to integrate via API or by file.
Our AI approach
Intensive, hands-on with AI | but built on decades of quantitative R&D, not on hype.
AI & Data
Data and processes — where signal dominates
In data extraction, financial documents and validation, AI performs at its best. Agents cross-reference sources, detect anomalies and track traceability at a scale impossible for any human team. The key lies in orchestration: deterministic code where rules are clear, LLMs where context and judgment matter, human judgment where decisions are critical. Each layer has its function.
AI & Markets
Financial markets — where noise dominates
Before applying AI to any domain, the key question is the signal-to-noise ratio. In financial markets that noise is structurally high — which is why reducing it matters more than fine-tuning models. This explains why decades of extraordinary advances in machine learning have not produced absolute and independent trading or asset management models. Experience here is not a complement: it is the filter that makes ML techniques useful rather than dangerous.
Solutions
Fundamental Analysis
Technical Analysis
Over 30 technical indicators, automatic trend calculation and a summary of the technical situation with key levels: supports, resistances and other relevant values. Coverage across Europe, North America and Asia-Pacific.
Analyst Consensus
Analyst recommendations and price targets, with constant monitoring of what the market is saying about each company. The institutional consensus, always up to date.
Liquidity Risk
Per-instrument liquidity feed and stress testing (LST) for fund managers, aligned with ESMA 2020 guidelines and CNMV supervision.
Chart Tool
Our professional charting platform, designed by analysts for market analysis. Over 30 indicators and metrics in an interface built for traders and investors.