Global Asset Financial Strategies and Analysis

Global Asset Financial Strategies and Analysis

الهياكل الأساسية للبيانات والتحليلات

Your profit our success

نبذة عنا

Global Asset studies and verifies in real time more than 150,000 different assets in the US,UK,Australian,Canadian and European markets. We constantly analyze any variation on commodities and ETF as well. In order to have profitable portfolios in such difficult times as the current ones, it is necessary to make dynamic analysis and strategies ready to adapt to unexpected changes. Global Asset provides analysis and strategies and continuous support to qualified partners such as Asset Managers , Advisors,Family Offices,Managed Account Providers,Discretionary Fund Managers,Private Funds, Wealth Managers ,White label Financial Services etc.

الموقع الإلكتروني
https://www.globalasset.capital
المجال المهني
الهياكل الأساسية للبيانات والتحليلات
حجم الشركة
٢ - ١٠ موظفين
المقر الرئيسي
Dubai
النوع
شركة يملكها عدد قليل من الأشخاص

المواقع الجغرافية

التحديثات

  • In a competitive and complex field like financial markets words alone aren't enough. Saying "we’re the best" is easy; true value lies in real results. That’s why at Global Asset we don’t just say it we prove it every day with numbers and performance. Through in-depth technical analysis precise strategies and constant asset monitoring our results are clear and measurable. We work to provide our Clients with tangible opportunities not empty promises. For us transparency is a commitment: every strategy is based on objective data and performance that tells a story of reliability and expertise. This concreteness makes the difference and proves that in our field it’s not enough to claim to be the best...you have to be the best. www.globalasset.capital

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  • Every day, our Clients (fund managers, private bankers, wealth managers, family offices etc.) receive exclusive buy and sell alerts, selected from over 150,000 assets and designed to highlight the best investment opportunities. We carefully curate indices, commodities, stocks, ETFs, currencies, funds, and cryptocurrencies to meet their strategic and profitability needs. Our alert system is more than just a notification. Each signal is the result of in-depth analysis, aimed at capturing market shifts, leveraging optimal timing, and providing our clients access to high-performing, diversified, and well-structured investment strategies. It’s an incredible competitive advantage that allows professionals to anticipate market movements and maximize the profitability of the portfolios they manage for their clients. The result? Our clients benefit from active and informed management, driven by data, insights, and analysis crafted to support successful investment decisions. We take pride in helping them identify the best opportunities, providing crucial information that makes a difference in an increasingly competitive market. If you want access to these strategic insights and to increase the potential of your Clients investments, write to management@globalasset.capital and discover how our reports and advanced analyses can enhance your investment approach.

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  • For a small investor entering funds or financial products with interesting returns may seem like an ideal solution but it often brings a series of hidden costs and limitations that reduce the real possibility of obtaining a satisfactory net return. Let us examine the main critical points. Entry and exit fees are costs that many financial products charge when entering or exiting the investment In many cases such fees can heavily impact the invested capital. For instance let us consider a fund that charges an entry fee of 3% and an exit fee of 2%. On an investment of 10.000 this results in an immediate loss of 300 at entry and an exit cost of 200 totaling 500 spent on fees alone. This represents a high burden for those seeking a leaner and more liquid investment. Many funds and financial products require that the capital be locked up for a minimum period which can range from several months to several years. For example many long term bond funds require a commitment of at least five years without withdrawal options or with significant penalties for early exit. This can be challenging for those who need to maintain some liquidity or who may wish to change strategy based on market performance. The result is that capital is tied up for an extended period reducing the investor's flexibility. Management fees are often applied annually and represent an additional fixed cost that reduces the net returns of the investment. For instance a fund that applies a 2% annual management fee may seem inexpensive but it actually represents a significant cost especially when compounded over the long term. Even if the fund yields a 6% annual return the final investor will receive only 4% net of management fees. In many funds especially actively managed ones the investor does not have access to detailed information on how the capital is invested or managed. Periodic reports often provide general and aggregate information making it difficult to understand exactly where the money is invested and what risks are actually present in the portfolio. This level of opacity limits the investor's control who must blindly rely on the manager without a real understanding of how their capital is being handled. In addition to fees charged by the funds themselves investors often have to deal with brokerage fees charged by banks and brokers who act as intermediaries. For instance some banks impose annual fees just to keep an investment account or securities account open. These costs add to the other fees further impacting effective returns. In some cases this means that the investor ends up paying fees at multiple levels both to the fund manager and to the intermediary which significantly reduces the net gain obtained from the investment. A new Paradigm is coming and this scenario is about to change radically. We are working on something that will bring an epochal transformation to the financial world. Are you ready for this revolution?

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  • When you choose Global Asset as a partner you are not simply purchasing a financial analysis service you are accessing a world where control of your investment decisions comes to life with the confidence of having reliable and structured guidance behind you. Imagine being a fund manager a private banker or a wealth manager. Every day you face a complex landscape where opportunities are numerous but risk is ever-present. The need to rely on tools that not only help you identify the best market opportunities but also allow you to act with precision is paramount. And this is where Global Asset becomes the ideal partner. When you use our services you feel protected. Our experience provides you with proven strategies and powerful analysis tools that guide you clearly in every decision. There is no more room for uncertainty only trust in your choices. The feeling you get is one of having total control finally with data and analysis supporting you every step of the way. Our clients seek predictability in an uncertain financial world. They need a partner who can read the complex dynamics of the markets and translate them into precise swift and measured actions. What we offer is not just a series of charts and numbers but expert guidance that makes you feel more confident in your choices. With Global Asset you realize you have an ally who provides not just information but true solutions tailored to your needs. There is also an aspect of empowerment. With us you are not just an operator following directions you become an active part of a larger strategy capable of studying markets and seizing every single opportunity. You will feel the confidence of being able to rely on a constant flow of accurate and updated information offering you the agility needed to make decisions even in times of high volatility. The true value of Global Asset lies in understanding the deepest needs of our clients the need to maximize returns protect capital and above all always feel one step ahead of the competition. With our support you will realize that you are never alone. There is always a clear vision a ready analysis a calibrated strategy that responds exactly to your immediate need. Choosing Global Asset means choosing a partner who understands how markets move but more importantly who understands how you want to move in the markets. That trust that sense of control and protection you feel is the result of years of experience dedicated to offering solutions that make a difference. This is what it feels like to have Global Asset by your side the peace of mind knowing that every decision you make is backed by superior financial intelligence. www.globalasset.capital

  • The financial markets keep going up so it's no longer possible to get in and follow the rise in the U.S. indexes? Yes you can still ride the wave but you need to know when you can act. Today I explain what a pullback is and why it represents an opportunity in financial markets.   A pullback is a temporary downward movement within an upward trend.   In other words it occurs when the price of a stock an index or a financial asset slightly drops after a period of growth before resuming its main upward trend.   Often this movement is seen as a natural market pause or correction rather than a trend reversal.   A pullback represents a great opportunity for investors because it allows them to buy an asset at a temporarily lower price within the context of an upward trend.   Investors waiting for a pullback signal aim to enter an already rising market but at a more advantageous price thus maximizing their potential gain once the upward trend resumes.   Imagine that the price of a certain stock is steadily growing from 100 USD to 150 USD in a few weeks.   At some point the price slightly corrects dropping to 135 USD.   This movement does not mean that the upward trend is over but is just a temporary pause.   This pullback could represent a great entry point for investors who do not want to buy at the highs but prefer to wait for a correction before entering.   Below is the chart illustrating an example of a pullback in an upward trend.   As you can see the stock price follows an upward trend (blue line) but halfway through experiences a small correction (pullback) before resuming its climb.   The dashed line highlights the pullback level which represents a potential entry point for investors looking to buy the asset at a discounted price before the upward trend resumes.   Pullback phase if well analyzed can offer great profit opportunities.   If you want to know whether your asset is in a pullback phase remember that you can use the TRADE FOCUS service available on our website www.globalasset.capital to speak directly with me or one of our analysts. Max Castagneris ceo

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  • The Importance of communication for our growth. In a competitive and ever-evolving sector like finance communication plays a crucial role in the growth and success of a company. Unlike many of our competitors Global Asset has chosen to invest significantly in our communication strategies recognizing that effective communication not only promotes our offerings but also builds strong and lasting relationships with our Clients. Communication is not just a way to convey information but a fundamental means to differentiate our company in the market. By investing in communication resources we can clearly convey the value of our financial analyses and strategies facilitating the understanding of the opportunities we offer. This approach allows us to position ourselves as leaders in the industry demonstrating not only our expertise but also our commitment to our Clients. To demonstrate our commitment we have created several TV commercials that represent our vision and the core values of Global Asset. Some of these videos can be found on our website https://lnkd.in/eMmt4cCY. Each TVC is designed to tell a story highlight our services and emotionally engage our audience making it clear why choosing Global Asset as a partner for financial analyses and strategies is the right decision. However it is important to emphasize that producing TV commercials incurs significant costs. Creating high-quality content requires not only financial investments but also time and specialized skills. From script writing to production from directing to editing each stage requires high-level human and technical resources. This investment is a testament to our commitment to excellence and our willingness to communicate clearly and effectively. By investing in communication we not only differentiate ourselves from competitors but also create a stronger bond with our clients demonstrating that we listen to their needs and respond with appropriate strategies. Our choice to produce high-quality TV commercials is a step in this direction consolidating our position in the market and strengthening our clients' trust in our ability to deliver results. Max Castagneris ceo

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  • Beating the Benchmark! Operating in financial markets is like playing golf. You don’t have a direct opponent but you play against the course. In each hole, you have a number of strokes called PAR which represents the expected number of strokes to complete the course. If you finish under PAR, you did better; if you finish over, you didn’t beat the benchmark. When we talk about financial markets, the benchmark is our PAR. The benchmark represents the performance of a particular market or asset. The goal, just like in golf, is to do better: closing trades with results above the benchmark. The objective of Global Asset, through the expertise of its analysts, is precisely this: finding strategies that can beat the benchmark. We constantly analyze more than 150.000 assets in real time to identify the best opportunities to outperform the market. What we are publishing today are the results of some of the assets we have monitored from January 1st, 2024, to September 30th, 2024. In the screenshots, you will see two lines: The blue line represents the performance of each asset,the benchmark. The green line represents our result. In other words, the green line shows how through advanced technical analysis and targeted strategies, Global Asset continues to beat market benchmarks. If you are part of the financial industry and want to discover how we can help you improve your performance and beat your benchmarks, contact us today. We are here to make a difference and help you achieve your financial goals.

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  • What does it mean to have a financial analyst at your disposal? Having access to a financial analyst can make the difference between an informed investment and one left to chance. Analysts are often confused with other financial professionals such as advisors, brokers, or those tied to banks or institutions. However, the role of a financial analyst is quite different: analysts do not sell financial products, do not gather money to invest on behalf of clients, and are not linked to banks or financial institutions. Their sole objective is to identify the best opportunities to maximize profit. Financial analysts operate independently of the commercial pressures typical of advisors or brokers. They do not need to promote specific products or push clients toward prepackaged funds or portfolios. Instead, their focus is exclusively on market analysis, identifying the most favorable entry and exit points. As we know, there are different types of investors: some prefer long-term strategies, while others, particularly newer generations, seek quick and significant profits. Global Asset stands out by offering personalized analysis and strategies tailored to the specific needs of each client. Whether you are a long-term investor or looking to capitalize on short-term opportunities, our services are designed to give you the greatest advantage. For instance, our Clients with a long-term perspective, on October 26, 2022, has received an issued an alert on General Electric (GE), recommending a buy entry at a price of $46.96 Today, General Electric is trading at $185.96, offering those who followed our analysis an extraordinary gain of 296%. This demonstrates the value of accurate analysis and the ability to seize the right opportunities at the right time. With our Trade Focus service, Clients can communicate with our analysts in real-time, access strategic insights, and evaluate analyses together to make their investments increasingly informed. Working with a financial analyst means having a dedicated partner focused on your growth, with one clear objective: the success of your investments.

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  • Should you be afraid? We are at 19.95... and there's more. The VIX index, also known as the fear index, measures the expected volatility of the US stock market. It usually increases when uncertainty and perceived risk rise. Currently, the VIX stands at 19.95 points, very close to the 20-point threshold, which, as you know, is considered an important level to assess the market's state. The 20-point threshold on the VIX is used as a boundary between a relatively calm market and a more volatile and risky one. When the index surpasses this threshold, investors perceive an increase in uncertainty, which could signal significant short-term market movements. The fact that the VIX is near this threshold indicates a possible rise in market tension. I analyzed the VIX on a daily time frame and noticed that it is above the 200-period exponential moving average. This moving average is a long-term indicator used to identify the primary trend of an index. When the VIX value is above the 200 EMA, it suggests an upward trend and could indicate an increase in medium-term volatility. The fact that the VIX is above the 200 EMA strengthens the hypothesis of greater volatility in the coming days or weeks. Let me also point out the position of other key indicators: The RSI indicator is currently around 55, which indicates that the VIX is neither in overbought nor oversold territory. This suggests that the VIX could still have room to rise, especially considering the 20-point threshold. The MACD shows a positive divergence, with the MACD line crossing the signal line from below. This bullish signal supports the idea of increasing volatility. The MACD moving averages suggest an acceleration in the strength of the VIX's upward trend. The Bollinger Bands show an expansion, a sign of increasing volatility. When the bands widen, the price tends to move more sharply, indicating possible significant market events. The stochastic oscillator is approaching the overbought zone, indicating that we may be nearing a volatility peak. However, this does not necessarily signal an imminent correction. If the stochastic surpasses levels above 80, it could indicate a temporary pause in the VIX's rise. With the VIX at 19.95 points, close to the 20-point threshold and above the 200 EMA on the daily chart, technical signals suggest a possible continuation of the rise in the medium term. The still-neutral RSI, bullish MACD, and expanding Bollinger Bands indicate that the market could enter a more volatile phase, with the risk that the VIX could surpass 20 points and stabilize at higher levels. This could herald a period of greater uncertainty, with potential declines in market indices like the S&P 500, as a rising VIX is often associated with corrections or bearish movements in major stock markets. Stay tuned 👁 www.globalasset.capital

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  • 📊 Gold: Will the rise continue or has the decline begun? 💰 In our upcoming Saturday newsletter we will provide an in-depth analysis of the current situation with gold. We’ll examine its recent performance: are we facing a continued upward trend or is a reversal on the horizon? Don’t miss out on this opportunity! 📰 If you haven’t subscribed yet you can do so for free at this link 👉 https://bit.ly/47JROeR Sign up now and stay updated on market trends!

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