The signal the smart money
reads before the market
figures it out.
Institutional-grade stock analysis, macro signals, and portfolio intelligence — delivered as professional reports and video breakdowns. No hype. No noise. Just the data that moves wealth.
Intelligence at every level.
From a free weekly signal to a fully custom investment dossier — pick the level of depth you need.
One stock. Fully analyzed. FCF quality, valuation, moat, and a clear buy/hold/avoid verdict.
- 8–12 page branded PDF
- Free cash flow analysis
- Valuation vs. fair value
- Competitive moat assessment
- Delivered instantly on purchase
3–5 stocks analyzed with full macro context. The report serious investors wait for each quarter.
- 20–30 page deep-dive PDF
- Macro overlay (CPI, yield curve, rates)
- 3–5 stock analyses with verdicts
- Sector rotation signal
- Delivered within 48 hours of purchase
The exact spreadsheet framework used to score FCF quality, dividend safety, and portfolio concentration.
- Google Sheets — use on any device
- FCF quality scorer (pre-built)
- Dividend safety calculator
- Portfolio concentration tracker
- Lifetime access, free updates
All 4 quarterly reports plus the screener spreadsheet. Everything in one purchase at a discount.
- 4 quarterly intelligence reports
- Axiom stock screener included
- Annual macro recap (bonus PDF)
- Save $191 vs. buying separately
- Reports delivered as published
A new signal report every month. Macro update. One stock analyzed in full. Cancel anytime.
- Monthly signal report PDF
- Monthly macro + sector update
- Exclusive video breakdowns
- First access to new products
- Cancel anytime — no lock-in
Upload your portfolio. Get a full FCF quality score, concentration risk breakdown, and rebalancing plan.
- Automated portfolio scoring
- Risk concentration analysis
- Rebalancing recommendations
A fully custom 40–60 page institutional-grade analysis built around one company or portfolio question you submit. FCF model, valuation, bear/base/bull scenarios, sector context, moat breakdown, and a written recommendation. Delivered as a branded PDF within 48 hours. No call required.
- 40–60 page custom PDF — your name, your question
- Full DCF and FCF valuation model
- Three scenarios: bear, base, bull with price targets
- Competitive moat and risk factor breakdown
- Macro context and sector positioning
- Written executive recommendation (2-page summary)
- Delivered within 48 hours — no calls, no waiting
// How it works
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1
Purchase & submit your brief. After checkout you receive a short intake form. Tell us the company, what you want to understand, and your investing timeline. Takes 3 minutes.
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2
We pull every data point. Live financials from FMP — 10 years of FCF, revenue, margins, debt, dividends, buybacks. Sector comparables. Macro overlay.
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3
The model runs. DCF and FCF valuation, three forward scenarios, moat scoring, risk matrix — all built into a structured analysis.
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4
Reviewed and delivered. Every dossier is reviewed before sending. You receive a branded 40–60 page PDF within 48 hours. No fluff, no filler.
Know what you're buying.
Every Axiom report follows the same institutional framework — FCF quality, valuation, moat, scenarios, and a clear verdict.
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01
FCF Analysis. 10 years of free cash flow — quality, trend, and conversion rate scored against sector peers.
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02
Valuation Model. DCF with bear / base / bull scenarios. Price target range and gap to current price.
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03
Moat Breakdown. Competitive advantages scored — brand, switching costs, pricing power, market position.
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04
Clear Verdict. Buy / Hold / Avoid with plain-English rationale. No ambiguity, no hedging.
Straight answers.
One stock.
One insight.
Every week.
Every week Axiom Terminal publishes one free signal — a single stock, a macro data point, or a sector rotation worth watching. No sales pitch. Just the signal.