STIR Research is a leading provider of independent tactical research for institutional investors and financial advisors, offering timely and unbiased institutional research models that help achieve superior long-term, risk-adjusted returns. Their diversified investment models provide flexibility, consistent performance, and reduced portfolio volatility, with clear buy, sell, and hold recommendations based on historical data and time-tested models.
With over 18 years of experience, STIR Research aims to provide as much historical analysis as possible, allowing investors to understand how their models perform in different market environments. They go beyond traditional research services by providing completed diversified equity or bond portfolios to meet the needs of both aggressive and conservative investors, using quantitative analysis and trend analysis as the foundation of their model portfolio construction process.
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