Reports for Equities/Indexes & Cryptocurrencies

The Tier 1 Report which provide statistical analysis along with a Monte Carlo simulation to provide expectations for return and probabilistic outcomes.
The report will include bespoke stochastic and statistical analysis with 7, 30 & 90 day forecasts not found in any other known location. This will help you understand probabilistic outcomes — including a test portfolio allocation scenario — as well as the average path for a multitude of “random walk” price paths which demonstrates expected return. Additionally, you will be shown significant past trends of price. These will help to provide you with a generalized statistical outlook given the best currently available data. This portion of the analysis will also be performed closest to your selected delivery date to ensure most accurate and useful results.
You can expect this report (deck) to be around 7-10 pages long.

For more information, please see FAQ.
Additionally, please download a Tier 3 Report Demo File (password is “open”) in order to better understand the services we provide.
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