Macro regime, event interpretation and analyst-ranked screening in one terminal — so you understand why the market moves, and every name you hold is rated, ranked and explained.
10Y-2Y at −0.35 with unemployment 4.1% — the classic pre-slowdown fingerprint. Cyclicals pressured, defensives supported.
Features
Each view earns its place — surfacing insight, not noise. Scroll through what the terminal actually does.
One synthesized read of the regime, the dominant risk and the week's catalysts — with the transmission chain that connects a shock to the assets it moves.
Every major release decoded into scenario trees — hot, inline, soft — each branch showing how it flows through rates, the dollar and sectors.
Real-time indices, currencies, commodities and breadth, each carrying the macro reasoning behind the move — the why, not just the what.
Every holding carries the street's rating, 12-month target and revisions, plus an exit plan built from those numbers and hard company facts.
Buffett, Graham, Lynch, Piotroski, Magic Formula, CANSLIM — each faithfully implemented, with every criterion shown, never a black-box score.
FII/DII institutional flows and mutual-fund NAVs — where the big money moves.
Daily snapshots building a searchable memory. What happened on days like today?
The regime derives sector tailwinds, carried onto every stock and screen.
India ↔ US in a single toggle — every view, indicator and strategy adapts to the region's own macro chains and sectors.
Pricing
Holdings live in your browser's local storage — we never see your positions. No tracking, no data selling. And we never fabricate a number: anything the engine can't compute shows as a dash, never a guess.
See the market as a connected system — regime, event and stock, one lens.
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