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The management and analysis of diverse and complex investment portfolios requires sophisticated tools. In order to generate above-average returns on investments - to "beat the market" - it is essential to leverage the most advanced modeling tools available to be able to perform smarter analysis and to do so faster than other market participants. STATISTICA provides the ideal platform for financial applications, and in particular for predictive modeling involving large numbers of interdependent investments. Here is what makes the STATISTICA solution different from other analytic tools:
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