St Mary Capital Introduces Volatility Forecasting System for Investors

September 30, 2025 — Leads & Copy — St Mary Capital has launched a volatility forecasting system designed to track and predict price changes across major asset classes. The system offers investors a structured method to assess potential risks in global markets, analyzing historical market data and using predictive models to identify movements in equities, commodities, currencies, and fixed income.

The company developed the tool in response to investor demand for more options to measure risk during uncertain times. The new system provides daily and weekly reports, includes scenario analysis, and covers multiple asset classes, utilizing quantitative methods and stress tests commonly used in finance.

According to St Mary Capital, the system is integrated into its investment platform, allowing users to review projections alongside their portfolio details to assess the alignment of their positions with the expected outlook. While the forecasts are not guarantees, they serve as an additional source of information for managing risk.

The firm emphasizes that the launch is part of its ongoing focus on analytical tools, with plans to track client usage and adjust features based on feedback and market changes. The goal is to provide investors with a clearer view of potential outcomes to inform their portfolio strategies.

Benjamin Rothwell, support@stmarycap.com

Source: St Mary Capital

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