TAYGETA QUANTITATIVE RESEARCH LIMITED
We have developed proprietary indicators over the years which we have found of great help to equity portfolio managers wishing to integrate fundamental and technical analysis, for an improved evaluation of risk-reward opportunities in the markets.
Stock markets usually present 4-5 opportunities each year where correct portfolio positioning determines performance for the whole year. Our indicators are of considerable help to identify these critical risk-reward situations, for the maximisation of the portfolio manager risk adjusted returns.
Commenta
Vota
Invia a un amico
Contatti
Segnala un errore
Media valutazioni: 0.00 (Da 1 a 5)
Numero di voti ricevuti: 0


