Managing market exposures is critically dependent upon the accuracy of your views on trends, timing, the potential of moves, the ability to anticipate turning points and identify efficient levels of protection. At Interfinance this is exactly the content of one of our main services.
Access our explicit forecasts of 7 major currency exchange rates (EUR-USD, USD-JPY, GBP-USD, USD-CHF, EUR-GBP, EUR-JPY, EUR-CHF), 8 key tradable stock indices (Dow, Nasdaq, Eurostoxx 50, Dax, Cac 40, FT 100, Bel 20, Nikkei), 4 financial futures contracts (Tbond, Bund, Bobl, Schatz), 4 key benchmark Treasury Bonds (US T-Note 10y, Euro Bund 10y, Sterling Gilt 10y, Japanese JGB 10y), 4 key 3-month Libor rates (Dollar, Euro, Sterling, Yen) as well as Gold and Oil. These 29 financial instruments cover the bulk and critical mass of the world’s capital stock and transactions.
Specific forecasts are geared for particular time horizons: Intraday, Short Term, Medium Term and Long Term.
Each of the 68 forecast pages includes a detailed prognostication of trend direction and potential targets, timely overbought/oversold warnings and explicit reversal points.
Each forecast summary is illustrated with 2 to 4 graphics and analytical studies, all updated in real time and explicitly indicating all the key points needed for timely and efficient exposure management.