The core activity of Finhorizon AG is the development and provision of solutions for reliable investing, particularly through the creation of risk-return forecasts and analyses for investment decisions. This includes two main products: fairvalues, which provides immediately understandable risk-return-time masses, and fairforecasts, which creates a global risk-return forecast overview based on scientific estimation methods.
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Clear risk-return-time benchmarks for financial instruments, stock exchanges, reference currencies and time periods; usable in investment advisory, for digital offerings and for portfolio monitoring.
Quantitative risk-return forecasts from financial market data and available predictions; available as an internal investment research platform or as a service.
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