A fixed-horizon scorecard for Quanta’s bullish and bearish calls. Directional outcomes, uncertainty, and sample size are shown together without implying hypothetical account growth.
This response does not carry the current exact-horizon calculation contract, so no performance figures are being shown.
The fixed public-ledger cohort (up to 12 months) at a ≥70/100 model-score floor is preselected. Shorter windows are exploratory context; always compare their sample size and confidence interval.
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