Built for decisions at scale.

A single source of truth for critical financial decisions.

When it comes to macro and financial research, we want to be more accurate, more insightful, and more impactful. But somehow do it in far less time.

That’s a tall task with traditional tools.

Macrobond’s integrated platform speeds every stage of the workflow, automating manual processes, tearing down barriers, and leaving more time for high-level thinking.

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Macrobond's impact on day-to-day research

Once teams move their macro research into Macrobond, the difference in workflows is instant:
10-15 hours recovered
Per analyst per week, up to 15 hours are recovered as manual data aggregation and reconciliation drop to minutes. 
70% fewer chart rebuilds
Visuals update automatically when time series change, leading to 50 to 70 percent fewer asset rebuilds.
50% less rework
Revision-aware data is built into the workflow, meaning 30 to 50 percent less rework after releases.
Shorter review cycles
With Macrobond, outputs can be shared without revalidation or reexplanation 


5 ways Macrobond moves you forward

2500+ macro and market data sources
  • Access 300 million time series from global macroeconomic and market data with maintained with full documentation and revision history.
  • Data is structured, point in time aware, and built to support economic analysis, forecasting models, and cross asset research without manual cleaning or reconciliation.
Economic forecasting and analysis
  • Analyze and transform data directly in the platform with transparent calculations and full control over assumptions.
  • Macrobond supports everything from exploratory analysis to economic forecasting models, portfolio analysis, and quantitative research, without forcing rigid workflows.
Dynamic charting and visualization
  • Create dynamic charting and financial data visualization that update automaticallywhen underlying data changes.
  • Charts are consistent, presentation ready, and suitable for internal reviews,investment committees, clients, and market facing outputs.
Publishing without rebuilding
  • Move from analysis to presentation or publication without exporting or rebuilding work.
  • Outputs remain connected to the data and analysis behind them, preserving context, lineage, and consistency across formats.
APIs and integration
  • Access macroeconomic and market data programmatically through APIs designed for Python, R, and MATLAB workflows.
  • This allows Macrobond to function as both an investment research platform and a data integration layer within existing analytics, portfolio management, and quant research environments.

A plan for every need

From solo analysts to global teams, Macrobond scales to simplify research and free time for real analysis and better decisions.
Empower your teams to deliver data, analysis, and insight across your business with purpose-built tools to help them work and collaborate at scale.
Research teams needing shared access, collaboration, and scalable delivery of macro and financial insights.
Build, iterate, and publish complex models and analysis with a tool that combines macroeconomic, financial, in-house, and third-party time series together in a single environment.
Individuals needing a single environment to model, analyze, and visualize macro and financial data.
Create straightforward analysis and visualizations with structured, true-to-source macroeconomic and financial data.
Individuals needing structured data and out-of-the box tools.