Prognose- und Handelsmodelle in Zeiten von Euphorie und niedriger Volatilität
Forecasting of global financial markets: past, present and the future
We think it is possible to determine the direction of any liberal, large and liquid financial market by systematically verifying the investment theories available today.
We operate on the assumption that different investor groups interpret financial data according to their basic orientation – whether it is value, macro, technical or sentiment.
We codify the investment knowledge of all relevant investor groups and produce one signal. With that signal investors are able to identify buying and selling opportunities in bear and bull markets or can benefit from sophisticated trading strategies applied in our fund.
Professional support to buy low and sell high the asset class in your comfort zone by adding tactical to strategic asset allocation.
Research-driven independent Swiss financial advisor and authorized asset manager with offices in the heart of Zurich.
Systematic verification and codification of the investment knowledge available today, based on solid statistical analysis of financial data.