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Research Lab

Trading Research

 

Problems

When it comes to money management, profiting from trading and investing in the secondary market is one of the most important paths for achieving short-term and mid-term returns. However, both retail traders and institutional investors heavily rely on efficient decision-making processes when it comes to looking up/setting up trading signals. Oftentimes when they are targeting a large number of secondary-market assets, it's hard to manually scan the whole market to find potential targets at a timely level, thus missing valuable opportunities.

 

Research

Finovax aggregates and incorporates a large number of commonly-used technical indicators, combined with our proprietary alpha signals and related trading/investment strategy research, which update on a frequent level to timely remind our retail and institutional clients on any potentially fleeting opportunities.

 

Results

Finovax helps save traders and analysts at least 2-3 hours per day because what they need from a large number of manual calculations and observations is now at their fingertips due to our research. Finovax also does the heavy-lifting such as calculating the most recent performances and the winning probabilities of these trading signals for our clients to help them decide if the signs are worth taking into considerations for the following trades.

Sector Research

 

Problems

A large number of market participants tend to trade/invest stocks only relying on prices and volumes without comprehensive understandings of the market from the perspectives of the fundamentals, which is to some extent, flawed. The reasons why technical indicators alone cannot explain many market movements are high since they do not take fundamentals or market environment into considerations, either from the perspectives of sector analyses, financial valuations, updates on related policies, or shifts in the macroeconomic environment, etc.

 

Research

Finovax aggregates and delivers high-quality fundamental research and analyses that cover both the entity, sector, and macroeconomic levels for market participants that require extra knowledge of the industry so that they can make decisions not only based on technical analyses, but also deep insights into the industry and macro environment.

 

Results

Our clients can track how different industry sectors have been performing along with the significant reasons behind it. In this case, clients can make better decisions as to which specific company/industry/sector is worth putting more effort into while making investment decisions.

Allocation Research

 

Problems

The equity market is indeed able to provide substantial returns, however, with a higher level of risk. Investors with a large number of assets tend to look at more stable and diversified portfolios such as real estate and bonds for their long-term allocations and risk-hedging purposes. Eventually, when it comes to detailed and final practices, professional wealth managers are good choices. However, many clients do not know where to start when it comes to basic understandings of such allocations and related opportunities, with a much lower cost.

 

Solutions

Finovax provides comprehensive research on allocation opportunities according to different risk preferences/tolerances so that clients are easily equipped with the understandings of related opportunities, both domestically and globally.

 

Results

Clients with Finovax's research at hand are able to know better about what assets they are likely to gain access to, and more importantly, where the allocation opportunities are based on the current sector and macroeconomic environment.

©2025 published by Finovax

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