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Financial Trends uses a comprehensive methodology to minimize deviation, that aims to provide the most accurate estimates and predictions. The company uses a combination of top-down and bottom-up approaches for segmenting and estimating the quantitative aspects of the market. The critical elements of the methodology used in all our studies include
In our reports we use official data sources published by governmental institutions, intergovernmental institutions, national statistical institutes, research institutes, banks, central banks, the World Bank (WB), the International Monetary Fund (IMF), the United Nations, Food and Agriculture Organization (FAO), the Global Economic Forum.
The data we analyze is continuously filtered to ensure that only valid and authentic sources are considered. In addition, data is extracted from a series of past reports and from the sources mentioned in “Data Collection”
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