Asbury Research provides subscribers with a top-down, macro analysis of the US financial landscape that includes the major US stock indexes, market sectors and industry groups, US interest rates, economically-influential commodities like gold, crude oil and copper, and the US Dollar.

In addition, we also provide subscribers with specific trading ideas in individual stocks and ETFs that include entry price, target price, stop loss level, and the corresponding risk/reward parameters.

The following table displays and dissects our 20 most recent closed out trading ideas along with some performance-related information.

Click the table to enlarge.

Our methodology is to pick assets that are in the midst of a resting period (consolidation) following a sustained price trend.  We are seeking an early entry into the resumption of that trend.  In addition, we only select stocks that, according to our own process, suggest at least a 1:2 risk-to-reward ratio — that is, risking $1 to make at least $2.  This additional screen means that, even if only half of our picks reach their targets, we should still be turning a profit.

Finally, all investors should know that investing in financial assets is a risky endeavor and that past performance does not guarantee future results.

Asbury Research subscribers can view our current research on the US stock market, market sectors, US interest rates, ETFs and commodities by logging into the Research Center via the big gold button in the upper right corner of the screen.

Non-subscribers can request more information about us, including service and pricing options, by visiting our Contact Us page or by calling 888-960-0005.

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