Subscription Packages

Try Us for 15 Days with No Risk!

Experience the future of financial risk assessment, risk-free for 15 days.

Our dynamic approach is already helping professionals stay ahead of bubbles and crashes. Try the Basic or Standard monthly plan today.
If you don’t see the value, simply contact us within 15 days for a full refund. No commitment. No risk. Just insight.

Act now and gain the foresight others will regret ignoring.

Start Your Risk-Free Trial Today!

The 15-day money-back applies to monthly Basic & Standard only. Yearly plans and the Professional subscription are non-refundable. Refund & Cancellation Policy

Basic

CHF 49 / month

Yearly Price: CHF 44 / month

(Yearly payment)

Ideal for people interested in a monthly overview of the market and bubble trends without needing day-to-day trading insights.

  • 15-Day Money-Back on the monthly subscription
  • Monthly Reports
  • Basic Asset List (15 fixed pre-selected assets) – 2 of these assets come with full access to all features
  • Confidence Indicators
  • Personal use only

Standard

CHF 190 / month

Yearly Price: CHF 162 / month

(Yearly payment)

Perfect for active retail investors who take a dynamic approach to trading and risk management, requiring more detailed market insights.

  • 15-Day Money-Back on the monthly subscription
  • Monthly Reports
  • Custom Asset List (Choose 100 assets on top of the 15 basic assets)
  • Confidence Indicators
  • LPPLS Scenarios*
  • Probability density function of critical time Tc*
  • Bubble Summary
  • Top 12 Daily Bubble per asset type
  • Personal use

Professional

CHF 1850 / month

Yearly Price: CHF 1573 / month

(Yearly payment)

Designed for Hedge Funds, Trust funds, institutional investors managing billions who require active dynamical risk assessment and comprehensive market analysis. Also for the passionate retail investors.

  • Monthly Reports
  • Full Asset List (over 1100 assets)
  • Confidence Indicators
  • LPPLS Scenarios*
  • Probability density function of critical time Tc*
  • Distribution of critical time Tc*
  • Bubble Summary
  • Top 12 Daily Bubble per asset type
  • Advanced Asset List with all bubbles
  • Commercial use

* Requires deep understanding of the financial markets

  • For commercial use, check the FAQ or the Terms and Conditions for more information.
  • If you need more assets, contact us. We will be happy to add the asset of your choice.

Custom Enterprise Solutions

Tailored financial modeling and risk assessment for institutions

Our enterprise solutions are developed specifically for financial institutions, investment banks, hedge funds, and asset managers seeking sophisticated tools for market risk evaluation.

Each solution begins with a thorough assessment of your requirements, followed by a detailed custom proposal and quote tailored to your organization's specific needs.

Bespoke Development

  • Custom dashboard development with your chosen metrics
  • Specialized tools for your unique asset classes
  • Mobile applications for executives and field teams
  • API development for seamless integration with your systems

Advanced Analytics

  • Custom model development for your market segment
  • Enhanced visualization tools for complex data sets
  • AI-powered predictive analytics tailored to your needs
  • Real-time alert systems for critical market events

Enterprise Infrastructure

  • Private deployment options for maximum security
  • Enhanced security protocols for sensitive financial data
  • Dedicated backup and recovery systems
  • Scalable architecture for growing institutions

Our Custom Development Process

1

Initial Consultation

We start by listening deeply to understand your unique challenges

2

Needs Analysis

Our experts assess technical requirements and identify optimal solutions

3

Custom Proposal

We develop a detailed proposal with precise specifications and timeline

4

Tailored Quote

We send you a comprehensive quote based on your specific requirements

Who We Serve With Our Enterprise Solutions

Investment Banks

Managing market risk across diverse asset portfolios

Hedge Funds

Seeking advanced bubble detection for alpha generation

Asset Managers

Monitoring systemic risk across client portfolios

Central Banks

Tracking financial stability metrics and market anomalies

Sovereign Wealth Funds

Long-term risk assessment for large-scale investments

Family Offices

Preserving wealth through advanced market risk tools

Ready to discuss the solution tailored to your needs?

Our team of financial modeling experts is ready to analyze your requirements and provide a detailed quote tailored to your organization's specific needs.