
Traditional financial tools often lack comprehensive, all-asset-category analysis capabilities, making it difficult for investors to gain a broad perspective of market trends. This can lead to missed opportunities or hidden risks, affecting asset allocation efficiency and return performance. The ARX Comprehensive Scoring System covers multiple asset categories (e.g., stocks, crypto, commodities, forex), allowing users to generate real-time 0–100 scores and detailed evaluation reports for any target. Based on multidimensional indicators, the system intelligently recommends buy/sell ranges, risk levels, and potential return pathways, helping you make precise decisions and achieve stable growth.
- Unified scoring system: Uses a quantitative 0–100 scoring standard to evaluate different assets for easy comparison and ranking.
- Multidimensional indicator-driven insights: Combines financial performance, industry sentiment, historical volatility, fundamentals, and market trends.
- Risk scenario alerts: Automatically flags potential risk indicators and safe boundaries, helping identify overheated or highly volatile targets.
- Practical decision-making advice: Each evaluation report includes recommended ranges, position suggestions, and return expectations to assist in building stable portfolio strategies.