About the Firm
Archimedes Research Group builds decision-useful intelligence at the intersection of macroeconomics, geopolitics, and financial markets. We join regime-level macro analysis to sector and corporate fundamentals, publish narrative research, and run a proprietary signal layer on the Archimedes Intelligence Platform.
How We Work
We work from auditable filings, regulatory disclosures, and official statistical releases. No secondhand aggregation, no black-box vendor feeds. If a number is on the platform, its lineage can be traced.
Every proprietary signal is documented on the platform — what it measures, how it behaves across regimes, and where it's known to break. Transparency is a product feature, not a marketing line.
We write in the idiom of a macro and strategy research firm — causality, implications, and specific watch lists. Not dashboards of disconnected bullets, not newsletter-style takes.
Sourcing
ARG draws exclusively from institutional, primary-source data. We describe the categories below rather than name individual providers — detailed provenance is available inside the authenticated platform.
Federal statistical & central-bank data
High-frequency macro series covering growth, prices, labor, credit conditions, and the financial cycle.
Regulatory filings & disclosures
Corporate financial statements, capital-adequacy reports, and earnings communications — all drawn from public filings.
Multilateral & official international data
Sovereign indicators, cross-border capital flows, external balances, and development-finance deal records.
Market & news signal data
Price data, trade-policy sentiment, and narrative-analysis inputs that feed the proprietary signal layer.
Signal Layer
Our proprietary signal suite spans four decision themes. Method documentation, diagnostic history, and the underlying series are available inside the authenticated platform.
Growth & cycle
Composite signals on recession risk, financial conditions, and credit transmission.
Prices & policy
Inflation-regime classification, policy-rate expectations, and trade-policy uncertainty.
Capital & sovereign
Cross-border investment flows and sovereign risk scorecards across developed and emerging markets.
Corporate & sentiment
Sector-level fundamentals and earnings-call signal extraction on the large-cap universe.
Get in touch
For methodology deep dives, custom coverage, or enterprise access, reach out directly.