Strategic Capital Research (SCR): Financial Investing and/or Trading
Strategies (USA, International, Global) for Macro to Micro Securities
Whether directly or indirectly, all of our strategies begin with the dominant economic picture identified during the macro level revisions of the foundational reports at “SCR: Finance R&A;.” Simply put, there are times when different asset classes make better investments.
In this section, using both investable ETFs and individual securities, our aim is to provide potential strategies (both for your self design and in our design) that can be used in your investing and/or trading goals, and that have the same extensive characteristics as our research: 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 office and computer supplies for a miserly boss, purchase only what you need when you need it. The SCR Analysts.