Methodology


The methodology has been developed in 2008 covering over 1000 financial parameters. With the analyses of weekly, daily and hourly graphs Spectral covers an investment horizons ranging fromfew days up to two years.

Spectral analytics employs purely historical price data. Predictions of future market tops and bottoms rely on oscillators patterns. Channels based on standard deviation envelopes, volatility and linear regressions are used to identify:

1. Trends

2. Risk return reward

3. Price target

4. Timing