Methodology

How Raport Rynku is made

The report is not a random news list. It is a daily filter: what moves the market, what can break the plan and which scenarios are worth having before making a decision.

Data Source or status

If there is no fresh confirmation, the report says directly that the market is closed or the reading is unavailable.

Conclusion Scenarios instead of certainties

Each report states the conditions that confirm the thesis, invalidate it, or favour waiting.

Security No access to private infrastructure

The site publishes the analysis output, but does not expose keys, bot controls or private server logic.

01

Sources

We review market data, the macro calendar, key indices, FX, crypto, commodities and credible news sources.

02

Risk ranking

Risks are ranked by what can most affect an investor's decision on a given day.

03

Decision map

We do not make promises. We show conditions: when to observe, when to stay defensive and when to look selectively.

Source hierarchy

Official sources come first

When data conflict, the official source takes precedence. Financial media may add context, but do not replace a confirmed institutional reading.

Source order

  1. Official institutions and central banks.
  2. Exchanges, issuers and public institutions.
  3. Reputable data providers.
  4. Reputable financial media.
  5. Supporting sources.

Data class and timing

Instruments may have different observation times. A reference rate, latest available reading, last known good reading and fallback value are not equivalent. Fetch time does not replace observation time, and an unavailable source is not presented as a fresh value.

Automation and oversight

Automated checks can stop publication

Reports use automated data collection and processing. Final content passes quality and consistency checks that can stop publication when an error is detected.

Responsibility

Paweł is responsible for the project, its methodology rules and oversight of the service.

Limits

Automation reduces some errors but does not guarantee error-free output. Issues can be reported under the corrections policy.

Rule

Capital protection comes first

The report is meant to help thinking, not replace decisions. It is not investment advice and does not promise profits.

What we do

  • We separate signal from noise.
  • We show scenarios and risks.
  • We teach a calm investor routine.

What we do not do

  • We do not promise certain profits.
  • We do not hide risk.
  • We do not push daily trading.
Back to the report The methodology becomes useful through consistent daily use.

Compare consecutive briefs and check whether the market confirmed the scenario or required a defensive mode.