Trading Identity,Just Investing, Promotion
Monitoring volatility and watching investment opportunities .
Our Global Stock Observation System are built using an innovative maintenance methodology that provides superior balance between the need for a stable system that is flexible enough to adjust quickly to a constantly changing opportunity.
We have remained a market leader by expanding and enhancing our risk monitoring products to reflect the evolving and complex needs of the institutional investment community – with groundbreaking new products, innovative research, high quality data and dedicated client support.
Over the past 20 years, we have been constantly improving Global Stock Observation System, wacthing closely equity volatility and risk analytics. We are the leader in researching equity volatility risk, with a broad range of indexes and equity risk analytical models that provide investors with tools for evaluating investment risk factors and incorporating risk management factor strategies into their portfolios.
Covers the full opportunity set and all its segments, including global major markets and commodities futures. Global Stock Observation System’s indexes monitoring are created using the Global Industry Classification Standard, montoring indexes and ETF which provides a common framework to risk montoring. They offer exhaustive coverage of the investable opportunity set with non-overlapping size and style segmentation.
At Secfortune, diversity is an opportunity – for clients, employees and Firm.
By valuing diverse perspectives, we can better serve our clients while we help employees achieve their professional objectives.
A corporate culture that is open and inclusive is fundamental to our role as a global institutial constantly striving for excellence in all that we do.
SECFORTUNE has applied pioneering ideas to real-world investment trading. Our development of risk Mgt models then helped pave the way for many of the quantitative and risk management practices used industry-wide. Our Analytics research provides new understanding for investors on how markets, asset classes and individual securities are linked from a risk perspective.