Our portfolio is derived through analysis of human behavior, sentiment, and how natural systems variance affects economic choices and market behavior. Bridging the gap between finance and meteorology, Weather Shares anticipates surprises in top line revenue growth, changes in macroeconomic factors such as employment rates and interest rates, and conditions affecting the way investors interpret market information. We typically look 6-9 months ahead and layer our approach over traditional fundamental and technical analysis.
To date, our projections and predictions have been executed on a smaller scale and discussed through social networking sites like LinkedIn. Over the course of the past few weeks, we have captured the attention of those working at the Federal Reserve and the Weather Channel along with numerous high ranking directors and officers.
We intend to scale Weather Shares over the coming years through a substantial increase in invested capital and offer a variety of products to meet the needs of our evolving clientele. We anticipate our trial fund beginning in mid November and lasting approximately 6 months. We are planning on a secondary capital raise next spring.