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No. SID5: Optimal Finance Investing™ – Strategies based on No. D5 (Int'l) Research

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Item # SID5

Current No. SID5 PDF Strategy Report (Includes SID4)
Dec. 23, 2008 (Revised every Tuesday)

  • SID5 Strategy Goal: Based directly on the updated revisions of the foundational research, D5 Optimal Finance Research™ (International) Moderate Investing , our international research analysts have identified, at the time of this No. SID5 Optimal Investing report, the following bulleted items that include strategies and securities exhibiting potentially favorable investing characteristics.
  • Investable securities (ETFs) 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.
  • SID5 Strategic Categories: Because this report contains the results from No. SID4 Optimal Finance Investing™ – Strategies based on No. D4 (Int’l) Research Revisions , it provides an extended strategy report of investable securities (ETFs) on the following macro to micro categories:

    Countries (with established financial markets), Financial Markets (global), Sectors (industries), Style (compare: growth, value), Size (compare: large-cap, mid-cap, small-cap, micro-cap), Weighting (compare: market cap, fundamental earnings, equal), Global vs. International (compare: with USA, without USA).

  • Because SID5 also contains the analysis from SID4, it may take a few moments to open (viewable sample from the gold “PDF Sample Report” link below) or to download (purchased report).

[View SID5 PDF Sample Report]

Sample Report: Dec. 11, 2008

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" :-))