Fifteen years of research and development coupled with rigorous backtesting have given us a solid advantage in the realm of stock forecasting and risk management solutions.

  • Proven models: Performance, timeliness, and broad coverage of about 4,000 US and 750 Canadian stocks.
  • Robust, automated backend. Speed of development and implementation.
  • Industry leading databases, research, and back testing processes.
  • Timeliness of data outputs.
  • Leading research with Ivy League affiliation.
  • No direct competition.
 
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