The NASDAQ 100 represents leading technology and growth companies, driven by innovation cycles, earnings trends, and risk sentiment. Foretic provides probability distributions showing the full range of possible NASDAQ outcomes, with institutional-grade risk metrics.
Our Bayesian Ensemble model quantifies uncertainty in tech equity movements, helping portfolio managers and traders make better allocation decisions with honest forecasts backed by quantifiable risk measures.
What Foretic does for tech equity investors and portfolio managers
NASDAQ 100 stocks experience significant volatility driven by earnings surprises, innovation cycles, and sector rotation. Traditional point forecasts fail because they ignore uncertainty. Foretic's probability cones show the full range of possible NASDAQ outcomes.
See 5th, 25th, 50th, 75th, and 95th percentile NASDAQ 100 forecasts over your chosen time horizon. Understand not just what might happen, but how likely each scenario is given current tech sector and market conditions.
Every NASDAQ forecast includes tail risk (CDaR, VaR), drawdown expectations, and probability of beating cash. Quantify tech equity exposure with institutional-grade metrics suitable for portfolio construction.
Forecast Any Market
Get access to institutional-grade NASDAQ 100 forecasts with probability distributions, risk metrics, and calibration tracking. Turn your tech equity predictions into verifiable assets.