Build, test, and analyze a stock portfolio with real market data. See your risk score, rebalance, and research every holding — in one clean workspace.
What's included
Add real tickers and percentages, load live prices, and get an instant portfolio score, risk read, and correlation check.
Company fact cards, a macro dashboard, a watchlist, side-by-side comparisons, and market news — all in one place.
Visualize allocation and the efficient frontier, get target-allocation suggestions, and stress-test your portfolio under a market shock.
See exactly which holdings are over or under your target allocation, and what to buy or trim to get back in line.
Compound growth, retirement targets, and other real financial math, worked out for you in plain English.
Save portfolios and export a full report of your holdings, score, and risk profile whenever you need it.
How it works
Type in any stock, bond ETF, crypto, or fund symbol and a target percentage — or load a sample portfolio to start.
Pull live market data for every holding, so your portfolio reflects what's actually happening right now.
Get an instant portfolio score, risk read, and correlation check — plus what's actually dragging your score down.
Dig into individual holdings, compare assets, rebalance toward your target, and stress-test the whole thing.