
Champion Research uses macroeconomic analyses to anticipate potential changes in global equity and fixed income markets. Factors including exchange rates, capital account imbalances, monetary policy and geopolitical issues are used to rank regional and country specific investment opportunities. These quantitative rankings are combined with more qualitative geopolitical analyses to further assess risks and opportunities. Although monthly data are reviewed, quarterly revisions to the model determine new allocations and investments. Regressions, time-series analyses, variance analyses, and other econometric equations are available to our clients and prospects upon request.