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Netherlands 1727732  615 DB CAPNCP REG  ETF  Amsterdam 
Netherlands 10279327  ETFS CAC 40 EURAC  Fund  Amsterdam 
Netherlands 1NOMIJ  1NOMIJ  Stock  Amsterdam 
Netherlands 13353562  NLCI COCOA  Index  Amsterdam 
Netherlands 1416974  BASKET-FORTFIN ELN  ETF  Amsterdam 
Netherlands 13095687  ISHARES IGSG INAV  Index  Amsterdam 
Netherlands 10012734  ISHS III BC EUR TSY  Fund  Amsterdam 
Netherlands 11528173  LBI INTERNATION  Stock  Amsterdam 
Netherlands 10279357  ETFS DJ DOUB EURAC  Fund  Amsterdam 
Netherlands 1992208  ANTONOV  Stock  Amsterdam 
Netherlands 13353574  NLCI COCOA GR  Index  Amsterdam 
Netherlands 13679411  RBS M A EMLBEUR C  Fund  Amsterdam 
Netherlands 13856728  SPDR EMEO VLI  Index  Amsterdam 
Netherlands 10096541  MEDIQ  Stock  Amsterdam 
Netherlands 10279306  ETFS CAC 40 2X EUR  Fund  Amsterdam 
Netherlands 10012758  ISHS III BC EUR AGG  Fund  Amsterdam 
Netherlands 18659362  AEX FINAN SERV GR  Index  Amsterdam 
Netherlands 10012767  ISHS III BC EUR COR  Fund  Amsterdam 
Netherlands 13353409  NLCI MILLING WHEAT  Index  Amsterdam 
Netherlands 13052256  AMUNDI AASU VLI  Index  Amsterdam 
Netherlands 10279356  ETFS DJ 50 LEVG EUR  Fund  Amsterdam 
Netherlands 10548474  TISCALI  Stock  Amsterdam 
Netherlands 13233560  OSSIAM SPMV VLI  Index  Amsterdam 
Netherlands 1880714  IKB FUND TRUST VRN  ETF  Amsterdam 
Netherlands 10108961  ANTONOV  Stock  Amsterdam 
Netherlands 13052417  AMUNDI ALAU VLI  Index  Amsterdam 
Netherlands 1NOMY  1STE NED ONROER  Stock  Amsterdam 
Netherlands 13095684  LYXOR CACM INAV  Index  Amsterdam 
Netherlands 10243834  RABOBANK NED VRN  ETF  Amsterdam 
Netherlands 13353565  NLCI MILLING WH GR  Index  Amsterdam 
Netherlands 10053514  ISHS III EXSAU AR  Fund  Amsterdam 

 
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Alpha Finder
Use alpha and beta coefficients to find investment opportunities after accounting for the risk
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Equity Screener
Evaluate performance of over 100,000 Stocks, Funds, and ETFs against different fundamentals, sectors and families
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Find insiders across different sectors to evaluate their impact on performance and growth of their entities
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Watchlist Analysis
Before comparing or considering investments, it is better to perform a risk-adjusted return calculation that will adjust the returns according to how risky the investments are.
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An investor can reduce portfolio risk simply by holding instruments which are not perfectly correlated. Correlation analysis module will build a two-dimensional matrix that shows correlation coefficient between pairs of securities. The cells in the table are color-coded to highlight significantly positive and negative relationships.
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