Why we exist

We strive to help investors earn higher returns. We are trying to bridge the gap between academics and practitioners in fields of Finance, Economics and Political Science. We conduct a lot of our research in close cooperation with academics around the world. We filter enormous amounts of analyses and information, condense it, add charts to make it more comprehensible and only then present to various investors — from corporate CEOs, CFOs and Treasurers to Portfolio Managers and Private Banks.

Our Investment Strategy/Research is independent and unbiased. We look at capital markets geographically (by focusing on the twenty largest economic blocks) and vertically (by focusing on various industries – from Oil and Gas to Banks).