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SCR: Forecasts

Strategic Capital Research (SCR): Financial Investing and/or Trading
Forecasts Based on Revised Research (USA, International, Global)

While the information posted on all other SCR pages reflect results found on historic data revisions, we have posted below actual near-term forecasts. With this, we need to stress that we are financial researchers offering honest opinions on results that may have a higher than average probability. We do our best as researchers, but there are no guarantees. In fact, market changes can quickly make research results, and thus the forecast foundation, obsolete. Therefore, we recommend that you protect your capital in any position taken with exit strategies containing protective stops.

– AND we provide even forecasts without requiring a REALLY expensive subscription. Thus, like buying antacids after making your own personal forecast to your significant other (been there-done that :-)), purchase only what you need when you need it.


The SCR Analysts.



On this “SCR: Forecasts” page you will find near-term forecasts (with the length of time being determined by the market type) applied to various global securities. We apply the same research, analyses, and strategies used in our other reports to our forecasts. However, with global money flows, market direction can change rapidly; thus, protect your capital by placing (at the very least) brokerage alerts on all positions.





No. FP-USA: Optimal Finance Trading™ USA Forecasting Predictions
Current No. FP-USA PDF Strategy Report
Available Apr. 13, 2009 (Revised every Weekday)

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

    Forecast with Volatility Estimate (current & near-term).


    In all strategies and in any market, 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 (ETFs) identified from the following categories:

    Sectors & Industries, Size (market cap), Leveraged, and Inverse (Proshares)

  • Because FP-USA 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 FP-USA PDF Sample Report Available Apr. 20]

Sample Report: Available Apr. 20


No. FP-Intl: Optimal Finance Trading™ International Forecasting Predictions
Current No. FP-Intl PDF Strategy Report
Available Apr. 13, 2009 (Revised every Weekday)

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

    Forecast with Volatility Estimate (current & near-term).


    In all strategies and in any market, 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 (ETFs) identified from the following categories:

    Countries with Established Financial Markets, Countries with Emerging Financial Markets, Sectors & Industries (global).

  • Because FP-Intl 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 FP-Intl PDF Sample Report Available Apr. 20]

Sample Report: Available Apr. 20


No. FP-CFX: Optimal Finance Trading™ Commodities & FX Forecasting Predictions
Current No. FP-CFX PDF Strategy Report
Available Apr. 13, 2009 (Revised every Weekday)

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

    Forecast with Volatility Estimate (current & near-term).


    In all strategies and in any market, 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 (ETFs) identified from the following categories:

    Commodities, and Currencies.

  • Because FP-CFX 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 FP-CFX PDF Sample Report Available Apr. 20]

Sample Report: Available Apr. 20







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