
Multi-factor market analysis where every number is computed from real data — never estimated. Deep dives, a daily radar, comparisons and risk statistics across Asia (Tokyo, Singapore, Hong Kong, Seoul, Taipei, Shanghai, India), the US, Europe and the Gulf, plus commodities, metals and forex. Explainable 0-100 score with visible sub-scores, evidence-alignment scores per horizon, candlestick and comparison charts, and a self-contained HTML report you can keep offline. Answers in 12 languages.

We conduct multifaceted analyses ranging from the global market down to specific countries, industries, and individual stocks. By organizing insights into multiple scenarios, we factor in not only financial performance but also hiring, compensation, and future investments. This is a practical analytical skill set that interprets the stock market based on data and structural dynamics, rather than intuition.

Markets do not move for one clean reason. Name any stock, index, sector, crypto asset, or macro market, and get a structured force-field report that shows the bearish and bullish drivers, their intensity, their time horizon, and the causal chain behind the move. The output is a self-contained HTML report with vector cards, net pressure by weekly/monthly/quarterly/annual horizon, key inflection points, and three scenarios. Open it in a browser or print it to PDF.

No stock is only a buy or only a sell. Name any stock, sector, or theme and get a two-sided evidence read that argues the strongest bear case first, then weighs it against the bull evidence and reports where the public data leans: bull, balanced, or bear. Delivered as a self-contained HTML report — bull/bear force-field cards with intensity and horizon, net evidence pressure by week/month/quarter/year, and scenario drivers. Research, not advice: no buy/sell calls, no targets, no sizing.

Consistent two-horizon stock analysis — verified numbers, explicit bear case, no hype

Sell-side-style fundamentals: management tone & evasion forensics, cross-quarter accounting red flags, beat/miss vs consensus, and a sourced bull/bear verdict.

台股量化研究系統的部署與解讀助手:協助你在自己的機器建置研究pipeline(安裝、資料回補、排程),解讀模型訊號的一般意義、辨識資料缺口、理解回測的侷限,並提供模型資產保護與工程紀律SOP。純研究與工程教育用途,不提供買賣建議、進場價位、停損目標價或部位配置;此類請求會被引導至一般性研究解讀或建議諮詢持牌專業人員。非投資建議。

Track US politicians' stock trades, analyze congressional committee conflicts of interest, and evaluate insider chasing risks instantly.
