Who is your personal advisor? Mine is the market!
Don’t get lost in twisted streets
We are independent financial researchers—no products, no hype, no rigid benchmarks. We don’t chase market predictions; we focus on what really works.
At MarkeTiming.eu, we track the major markets—currencies, bonds, equities, and commodities—using a unique, flexible, and natural approach to pinpoint the optimal market portfolio of the week.
This isn’t a theoretical model—it’s the actual best-performing market portfolio you can use. Our reports show the ideal allocations for each asset class, so every investor can craft their personal best market allocation, every week. Get ahead in your planning—consult our weekly reports in advance. Our Free Reports are already available for the upcoming week. And you?
2 free reports, 26 markets monitored, 18 powerful indicators, 9,613 calculations per market, and nearly 250,000 calculations across all reports. All the key insights… delivered to you in just 1 second!
The Optimal Market Portfolio allocations are based on our proprietary indicators. Our Flexible Model tracks trends, stability, volatility shifts, risk/return balance, and timing signals to highlight the best market moments. Every week, free!
The Optimal Market Portfolio Allocation evolves every week. This report highlights these critical shifts to guide tactical allocation adjustments using current trend detectors, stability indicators, and changes in realized volatility.
DISCLAIMER: MarkeTiming Reports, App, and Analysis are independent, exemplary studies reflecting specific situations in the financial markets. They do not constitute financial advice, investment solicitation, or public savings activities.