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CriterionStar Global Stock Observation System is designed to monitor global stock Market methodology.
Global Stock Markets Observation
CriterionStar Global Stock Observation System monitors 23,269 equities ,indexes and ETF, 32 sectors across, 49 developed and emerging markets, watch closely global stock markets volatility.
It provides a seamless, modern and fully integrated view across all sources of equity returns in 49 developed and emerging markets.
CriterionStar Global Stock Observation System offer a modern, seamless, and fully integrated approach to measuring the full equity opportunity set with no gaps or overlaps.
CriterionStar Global Stock Observation System are used by professional investors worldwide for investment analysis, performance measurement, asset allocation, hedging and the creation of a wide range of index derivatives, funds, ETFs and structured products.
CriterionStar Global Stock Observation System is designed to represent performance of the full opportunity set of large- and mid-cap stocks across 49 developed and emerging markets.
From market cap-weighted regional, country and sector indexes to indexes based on strategies such as factor investing, the Modern Index Strategy enables clients to construct and monitor portfolios in a cohesive and consistent manner.
Investors are increasingly looking beyond their home market toward the full global equity opportunity set as the starting point for their investments.
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.