Our Expertise
At Lombard Europe, we integrate real-time market sentiment with investor consensus data, enabling us to constantly monitor hundreds of European stocks and pinpoint high-potential opportunities..
​Our expertise centers on the interpretation of market sentiment a reflection of the expectations and perspectives held by major market players such as banks, hedge funds and other institutional investors.
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This monitoring allows us to understand what those communities think about each stock, sector, or market.
Those consensus indicators rely on three primary categories of data:
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Forecasts & opinions published by financial analysts
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Institutional and asset managers' capital Allocation choices
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Retail investors sentiment and positioning
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1. Institutional Research & Outlook
This set of indicators reflect the expectations of the financial analyst community regarding 12-month returns for each stock and sector in our coverage.
We construct it by aggregating published forecasts and opinions from analysts and industry experts to calculate an average 1-year price target. We then interpret this data in two ways:
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Absolute value: the overall level of optimism or pessimism
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Trends and changes: how sentiment shifts over time
2. Institutional Portfolio Exposure
While forecasts are mainly based on published opinions, this second set of indicators seek to measure actual investment decisions made by institutional investors - such as banks, mutual funds, and hedge funds.
It reveals where the so-called “smart money” is flowing by analyzing buying and selling patterns of those institutionial investors.
Understanding these shifts helps us interpret where major investors are placing their bets for the next 12 months.
3. Retail Investor Sentiment
Whereas the first two previous indicators are built on the opinions and forecasts of market professionals, this third component is derived from the activity and preferences of retail investors.
Although individual investors do not wield the same level of influence as large institutions, tracking their behavior and sentiment offers valuable insight. It allows us to either validate or challenge the directions taken by professionals, highlighting points of alignment (or divergence) between institutional views and retail dynamics.
By integrating this perspective, we gain a more balanced and comprehensive understanding of market consensus, capturing not only the voice of influent institutionals, but also the perspective of the broader investing community.
A couple of words about our editors:
Alexis Davidovic is our editorial chief. He has been an analyst and consultant in the banking sector for over 15 years, with a focus on risk management and data governance in large banking institutions. He holds a Master’s degree in Business Management and an advanced Master’s degree in Financial Risk Management.
Sarah T. Nguyen is an analyst and advisor, in charge of professional client relations. She specializes in high net worth individuals and family offices. Earlier in her career, she spent over 15 years in leadership positions at Citigroup, most recently as head of an international equities desk. Among several academic achievements, she earned an MBA from NYU Stern and is a CFA charterholder.
Why do investors trust us?
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We are fully independent. We do not accept money from advertisers, nor are we affiliated with any financial institution or listed company. Our success depends solely on the quality of our research and the trust of our clients.
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We make our recommendations crystal clear. For every stock, we provide an exact entry date and a set price target, ensuring our readers know exactly when to enter and exit positions.
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Unlike many players in the field, we do follow up on every recommendation we publish. For each Top-Ranked stock, we openly share whether it reached its price target or ended in a loss, ensuring complete transparency.
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We promote geographical diversification, focus only on European. We actually started as the French-speaking publication “L’Investisseur Actif”, and have gradually evolved to an English-first platform as our readership became increasingly international.
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We achieve results that speak for themselves. Our sentiment-focused methodology delivers tangible value, with the actual returns of our top-ranked stocks detailed on our Track Record page, updated monthly.
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Our approach, grounded entirely in sentiment and consensus analysis, is as pertinent as distinctive, and allows for robust performance and proactive risk management.​​​​​​​​​​


