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World Market Securities at Strategic Capital Research
Americas (not USA)

This section in “SCR: World Mkts” has trading research, analyses, and strategies designed on databases useful either to our domestically based traders operating in a specific country or to our internationally based traders who have access to global trading accounts (E*Trade, etc.). Additionally, all of our reports are updated weekly. This revision frequency provides our swing traders with fresh trading data appropriate for strategic 3 to 7 day swing turnovers (e.g., intermediate-term bullish, intermediate-term bearish, or overbought and/or oversold). With that said, our research can also be used for long-term investing strategies. This is especially true of the “Bullish (from consolidation with momentum)” analyses. Since we design all subsequent work only after we have obtained a global macro picture from completing relevant revisions, even our short-term trading based strategies are indirectly tied to our foundational research at “SCR: Finance R&A;.”

English: Our reports on this page are written in both English and in the dominant language used in each country. You can use the Google translation tool below to translate this page into your native language. Español: Nuestros informes de esta página están escritos en Inglés y en la lengua dominante utilizada en cada país. Puede utilizar la herramienta de traducción de Google a continuación para traducir esta página en su idioma nativo (Problema: El navegador Firefox no es la lectura del acento Español símbolos.). Português: Nossos relatórios sobre esta página são escritos em Inglês e na língua dominante utilizada em cada país. Você pode usar a ferramenta abaixo Tradução de Google para traduzir esta página em seu idioma nativo (Problema: Firefox não está lendo o sotaque Português símbolos.).

We revise our research, analyses, strategies, and ranked securities on a regular schedule (listed in each description). By signing up for our Free Finance Research List, you will be the first to see our finance research revisions, and be the first to use the free excerpts. Additionally, to say “thank you,” we frequently send private and exclusive finance research, analyses, and strategies to our list subscribers. With zero spam and a simple unsubscribe link in each email, it’s an easy process. Painless! :-)


The SCR Analysts.





No. WM-CA: Optimal Finance Trading™ Strategies on Canadian Securities (TSX Exchange in Canadian Dollars)
Current No. WM-CA PDF Strategy Report
Available Jan. 29, 2009 (Revised every Thursday)

  • WM-CA Strategy Goal: Our research analysts have identified, at the time of this No. WM-CA Optimal Trading report, the following strategies and securities exhibiting potentially favorable short-term trading characteristics:
  • Tradable securities (Stocks) identified for the following strategies:

    Bullish (from consolidation with momentum), Bearish (from consolidation with momentum), Overbought and/or Oversold in a trading market, Possible Top and/or Possible Bottom in a trending market.


    In all strategies, hold your position until your chosen exit stop has been triggered (then come back to us for another security :-)). If you’re interested, further study of strategies, including ones with capital protective exit stops, can be found at the following sites: At Strategies: From A To Z at Strategies: By Type and at Strategies: Full Systems.
  • Tradable securities (Stocks) identified from the following databases:

    Full Database of Canadian securities traded on the TSX exchange.

  • While the securities analyzed in this report are denominated in Canadian dollars, the purchase price for this report is in USA dollars. Until we are able to locate international banks that have reasonable fee structures (allowing us to continue our low pricing), purchases in currencies other than the USA dollar will have be made through either Visa or Master Card. To our international traders, we apologize for this.
  • Because WM-CA is a large file, it may take a few moments to open (viewable sample from the gold “PDF Sample Report” link below) or to download (purchased report).

[View WM-CA PDF Sample Report Available Jan. 29, 2009]

Sample Report: Available Jan. 29, 2009


No. WM-MX: Optimal Finance Trading™ Strategies on Mexican Securities (Mexico Exchange in Mexican Pesos)
Current No. WM-MX PDF Strategy Report
Available Jan. 29, 2009 (Revised every Thursday)

  • WM-MX Strategy Goal: Our research analysts have identified, at the time of this No. WM-MX Optimal Trading report, the following strategies and securities exhibiting potentially favorable short-term trading characteristics:
  • Tradable securities (Stocks) identified for the following strategies:

    Bullish (from consolidation with momentum), Bearish (from consolidation with momentum), Overbought and/or Oversold in a trading market, Possible Top and/or Possible Bottom in a trending market.


    In all strategies, hold your position until your chosen exit stop has been triggered (then come back to us for another security :-)). If you’re interested, further study of strategies, including ones with capital protective exit stops, can be found at the following sites: At Strategies: From A To Z at Strategies: By Type and at Strategies: Full Systems.
  • Tradable securities (Stocks) identified from the following databases:

    Full Database of Mexican securities traded on the Mexican exchange.

  • While the securities analyzed in this report are denominated in Mexican pesos, the purchase price for this report is in USA dollars. Until we are able to locate international banks that have reasonable fee structures (allowing us to continue our low pricing), purchases in currencies other than the USA dollar will have be made through either Visa or Master Card. To our international traders, we apologize for this.
  • Because WM-MX is a large file, it may take a few moments to open (viewable sample from the gold “PDF Sample Report” link below) or to download (purchased report).

[View WM-MX PDF Sample Report Available Jan. 29, 2009]

Sample Report: Available Jan. 29, 2009


No. WM-SA: Optimal Finance Trading™ Strategies on South American Securities (Major Exchanges)
Current No. WM-SA PDF Strategy Report
Available Jan. 29, 2009 (Revised every Thursday)

  • WM-SA Strategy Goal: Our research analysts have identified, at the time of this No. WM-SA Optimal Trading report, the following strategies and securities exhibiting potentially favorable short-term trading characteristics:
  • Tradable securities (Stocks) identified for the following strategies:

    Bullish (from consolidation with momentum), Bearish (from consolidation with momentum), Overbought and/or Oversold in a trading market, Possible Top and/or Possible Bottom in a trending market.


    In all strategies, hold your position until your chosen exit stop has been triggered (then come back to us for another security :-)). If you’re interested, further study of strategies, including ones with capital protective exit stops, can be found at the following sites: At Strategies: From A To Z at Strategies: By Type and at Strategies: Full Systems.
  • Tradable securities (Stocks) identified from the following databases:

    Bogota Stock Exchange in Colombia, Buenos Aires Stock Exchange in Argentina, Caracas Stock Exchange in Venezuela, Lima Stock Exchange in Peru, Santiago Stock Exchange in Chile, Sao Paulo Stock Exchange in Brazil.

  • While the securities analyzed in this report are denominated in various South American currencies, the purchase price for this report is in USA dollars. Until we are able to locate international banks that have reasonable fee structures (allowing us to continue our low pricing), purchases in currencies other than the USA dollar will have be made through either Visa or Master Card. To our international traders, we apologize for this.
  • Because WM-SA is a large file, it may take a few moments to open (viewable sample from the gold “PDF Sample Report” link below) or to download (purchased report).

[View WM-SA PDF Sample Report Available Jan. 29, 2009]

Sample Report: Available Jan. 29, 2009







Strategic Capital Research (SCR): Financial Research, Strategies, and Ranked Securities!


Optimal 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 portfolio), commodities, currencies, companies, international & emerging markets, real estate. Methods: Econometric, Technical, and Fundamental. Sign-up below for our Free Finance Research List: Be the first to see the revisions – Be the first to use the free excerpts! Private and exclusive investment research is frequently sent to our list subscribers (our way of saying "thanks" :-))