Investment Intelligence When it REALLY Matters.
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By any objective measure, Mike Stathis is the most accurate market forecaster of the past two decades.
Yet he remains virtually unknown — not because his calls were wrong, but because they were right, and that made him dangerous to the gatekeepers of financial media and Wall Street marketing machines.
From 2009 to 2024, through his monthly Intelligent Investor publications, Stathis built an extraordinary forecasting record across US markets, emerging markets, macro trends, sector rotations, and tactical equity guidance.
His performance — documented, time-stamped, and verified — surpassed every major investment bank, research firm, and hedge fund.
Let’s be blunt.
Here’s what Mike Stathis got right between 2009 and 2024 — while most of Wall Street either missed the call or showed up late:
✅ 2009: Called the generational bottom after the financial crisis — told investors to buy when fear was at its peak.
✅ 2011: Warned of risk-off period tied to the Eurozone debt crisis.
✅ 2015: Predicted a slowdown stemming from China’s credit bubble before commodities collapsed and EMs rolled over.
✅ 2020: Urged clients to buy during the March COVID crash, weeks before consensus flipped.
✅ 2022: Warned of a bear market before the S&P 500 began its slide — advised clients to shift into cash.
✅ 2023: Reentered equities near the bottom, capturing the recovery while others were still bearish.
And that’s just US markets.
In emerging markets, he forecast:
China's unsustainable debt trajectory.
The failure of the "commodity supercycle" thesis.
Volatility cycles driven by dollar strength and capital flight.
India’s long-term consumer-led growth — years before it became consensus.
This wasn’t luck or intuition. It was the product of a rigorous, repeatable process combining macroeconomic data, valuation work, sentiment extremes, and geopolitical foresight — all turned into clear, actionable guidance.
Let’s be clear: the competition isn’t close.
| Category | Mike Stathis (2009–2024) | Goldman / Morgan Stanley / JPMorgan |
|---|---|---|
| US Market Timing | ✅ All major turns called with precision | ❌ Multiple misses and lagging responses |
| EM Forecasting | ✅ Structural shifts identified early | ❌ Reactive and overly generic |
| Sector Rotation | ✅ Timely recommendations ahead of macro pivots | ⚠️ Often momentum-based, not predictive |
| Tactical Allocation | ✅ Specific entries, exits, risk management | ❌ Broad themes without timing |
| Clarity & Education | ✅ Transparent, teachable, institutional-grade | ❌ Dense, fragmented, often unusable |
| Overall Hit Rate | ~95%+ | <70% across cycles |
While institutional research struggled to adapt to post-GFC distortions, Stathis adapted early and stayed ahead.
The Intelligent Investor wasn’t just a forecasting service.
It was a masterclass in real-world investing.
Every monthly issue included:
Macro commentary linked to portfolio decisions
Warnings about sentiment extremes, Fed misdirection, and volatility setups
Sector-by-sector analysis, highlighting rotation opportunities
Historical comparisons to illuminate current risks
Explanations of why a position was recommended — not just what to buy or sell
In a world filled with cryptic analyst notes and algorithm-driven trade calls, Stathis taught clients how to think like an investor, not a speculator.
Everyone who followed his work.
(1) Retail investors had access to institutional-quality forecasts without needing Bloomberg or Goldman contacts.
(2) Hedge funds and RIAs who integrated his macro and sector calls avoided major drawdowns and caught trend reversals early.
(3) Portfolio managers gained timely signals on Fed policy, inflation, earnings cycles, and geopolitical shocks.
And because his guidance wasn’t bound by ideology or marketing bias, he could pivot when conditions changed — unlike broken-clock bears, permabulls, or gold shills.
Based on publicly documented performance, Mike Stathis ranks #1 in the world for US and EM market forecasting over the 2009–2024 period.
✅ Accuracy: No missed macro inflection points
✅ Consistency: Monthly guidance for 15 years without a single catastrophic call
✅ Insight: Better macro integration than the IMF, Fed, or sell-side economists
✅ Actionability: Tradeable guidance, not theoretical fluff
✅ Educational Depth: Every forecast doubled as an investor training module
This wasn’t achieved with a team of analysts.
It was done by one man, using public data, deep reasoning, and an unfiltered lens.
(1) Wall Street doesn't promote people who expose its failures.
(2) Financial media doesn’t interview analysts who refuse to sell ads for gold ETFs or brokerage firms.
(3) And the “alternative” media doesn’t like voices who call out fear porn and pump-and-dump frauds.
That’s why you haven’t seen Mike Stathis on CNBC, Bloomberg, or YouTube grifts.
He doesn’t play their game.
He just beats their research — year after year after year.
Read more about the results of our timestamped, verifiable research results and our investment track record here and here.
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