Solution introduction

Risk-return-forecast derived by scientifically evaluating and merging all available information to a global information landscape.

Integral. Self-evident. Conclusive.

fairforecasts© is a novel quantitative approach to analyse big data and render smart data to assess the potential of investment alternatives. The applied scientific algorithm merges all sources of predictions, including the users’ view, to a unique risk-return forecast landscape. This research approach ensures insights with higher levels of prediction accuracy.

All research results are presented by self-evident visualised performance indicators. Easy to understand and communicate research conclusions, derived from empirical testing, serve as a sound basis for investment decisions.

Finhorizon provides fairforecasts© as an internal investment research platform or a service.

Subscribe to our newsletters

The Wealth Mosaic publishes a range of newsletters each month to help both wealth managers and solution providers stay on top of the latest developments in the global wealth management sector. Click below to sign up to those that are of interest.