We are a Team of like-minded people with specialization in Macro Markets research across diverse asset classes. We focus primarily on American and European markets at the moment. However we are working on our next offering for Middle East, emerging markets and Far Eastern Markets in Asia.
Our Research Analysts have multi-year experience in dealing with complexities of Financial Markets. We crunch all key data points and news that’s relevant for an average investor and present it in an easy to understand language and help an average retail investor to take key decisions about certain asset classes.
Forecasting is one of the most difficult jobs for most retail investors and considering the volume of data available on Internet, it is becoming even more difficult for an average investor to crunch the data and come to a meaningful conclusion as to what asset class suites them the most based on their risk appetite.
We analyse Equities, Bonds, Currencies, Commodities, Real Estate and Emerging Markets to name few of the asset class that we specialize in. As your Personal Research Analyst, we provide you unbiased view of financial markets and help you to take decisions to identify the best Asset Class.
We are not financial advisors and as such we do not provide any buy or sell recommendations. Our job is merely to guide you on what assets classes are suitable based on your risk appetite and at the same time help you with research for any of your existing and future investments.
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