Analyze markets and gain insights to enhance your investment strategy.

Expert Market Analysis
Market conditions change rapidly, and having a clear view of these shifts is essential for informed investing. WealthFluent’s market analysis tools give you real-time insights into all market trends, helping you make decisions based on current expected returns and risk factors. Get data-driven insights to enhance your investment strategy and evaluate risk and reward across various sectors—stocks, bonds, high-yield securities, and more—while understanding the diversification benefits of each.
Your Market Analysis Tool doesn’t just inform—it empowers you to act. Alongside real-time data, you get actionable insights that you can use to adjust your portfolio, seize opportunities, or mitigate risks before they impact your overall strategy.
Understanding Market Expectations
Two of the most valuable tools for gauging market expectations are the U.S. Treasury Yield Curve and the CBOE Volatility Index® (VIX®). The yield curve compares Treasury yields across maturities, offering insights into anticipated interest rate trends and inflation expectations.

VIX® provides a forward-looking measure of expected volatility in the S&P 500 based on option prices, reflecting the market’s outlook on future risk. Using these predictive indicators, WealthFluent continuously updates expectations for returns, volatility, and correlations across investments. This approach gives you a more comprehensive view of the market outlook, going beyond historical data alone to inform your investment decisions.

Forward Looking: Short and Long-Term Market Insights
Stay informed with real-time data and insights for both short—and long-term market Volatility and expected Return. Understand where the market is and what it is offering and the correlations. See all the market data you need to make smarter, more informed decisions.


Real-Time Market Data
Access to the latest market data, and stay updated on stock, bond, and other financial markets. Get live updates on price movements, sector performance, macroeconomic shifts, and interest rates, ensuring you never miss critical opportunities or risks in your investment strategy.
