[SCR] Strategic Finance Research & Analysis with Strategies: About Us The Company & The Director
Our goal is to provide economic and financial research that have the following extensive characteristics: a range that stretches across countries, a depth that studies from macro–country to micro–company, and a breadth that analyzes by style (value, growth), by size (large-cap, medium-cap, small-cap), by sector (and industry), by strategy (momentum, overbought & oversold, price divergence, rotation (asset & sector), relative strength, performance, long & short), by asset class (bonds, stocks, commodities, currencies, real estate), by weighting (equal, fundamental earnings, market cap.), by time (long-term, medium-term, short-term), and finally, by technique (econometrics, technicals, and fundamentals).
– AND provide the above without requiring a REALLY expensive subscription. Thus, like buying dog food for your new, and very cute, lab retriever puppy, purchase only what you need when you need it. (dog food? Yeah, we know – this analogy is getting to be a bit much :-))
Optimal Finance Analysis (Macro to Micro) – USA, Global (includes USA) & International (excludes USA) – by style, size, sector, asset class, weight, time, and technique: Stocks, bonds, ETFs (over 85 per report), commodities, currencies, companies, international & emerging markets, real estate. Methods: Econometric, Technical, and Fundamental.
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