Research, invest and trade — without switching tools.
ArthVue brings screening, company research, long-term portfolio construction, an active trading terminal and margin-facility transparency into one clear workflow. Every number is shown with its context — no guaranteed-return claims.
Market snapshot
Sample dataNIFTY 50
24,812.35
+0.42%SENSEX
81,244.9
+0.36%BANK NIFTY
53,180.15
-0.21%NIFTY MIDCAP 100
58,120.6
+0.88%INDIA VIX
12.94
-3.15%USD/INR
87.42
+0.11%Top gainers
Largest positive moves today
Top losers
Largest negative moves today
One platform, the whole journey
From first research to portfolio review.
Stock screener
Filter by sector, market cap, valuation, profitability, growth, momentum, yield and risk.
Stock research
Charts, financial statements, ratios, peer comparison, news and analyst context per company.
Long-term investing
Model portfolios, goal planning, SIP projections, diversification checks and rebalancing.
Trading terminal
Watchlists, chart, order entry, positions, holdings, order history and live P&L view.
MTF calculator
Eligible stocks, leverage, interest cost, margin requirement and repayment illustration.
Portfolio analytics
Allocation, returns, realised and unrealised gains, risk metrics and transaction history.
Learn
Plain-language guides to investing, trading, technical and fundamental analysis, and MTF.
AI market insights
Market regime, economic cycle, sector rotation and allocation reasoning from macro data.
Model portfolios
Rule-based baskets you can study and adapt — not a promise of returns.
Steady Compounders
ConservativeOwn durable, cash-generating businesses and hold through cycles.
- 3Y CAGR (backtest)
- 13.4%
- Horizon
- 7+ years
India Growth Engine
BalancedCapex, manufacturing and domestic demand exposure.
- 3Y CAGR (backtest)
- 19.1%
- Horizon
- 5+ years
High Conviction Alpha
AggressiveConcentrated positions in accelerating earnings stories.
- 3Y CAGR (backtest)
- 24.6%
- Horizon
- 3+ years
Data is everywhere. Understanding is not.
Every conclusion on this platform answers the same six questions, and shows the evidence behind it.
How we present a market view
Explainable, risk-aware, and honest when there is no edge
- What is happening
- Indices, breadth and your holdings summarised in one line — not a wall of tickers.
- Why it is happening
- Moves attributed to drivers: flows, macro, positioning, earnings and policy.
- Where it matters
- The specific levels, sectors and companies where the change actually lands.
- When to pay attention
- The conditions worth acting on — and the long stretches where waiting is correct.
- What if we are wrong
- The invalidation is stated up front, alongside confidence rather than certainty.
- What to monitor next
- A short, specific watchlist of data points and events for the days ahead.
Market investments are subject to market risks. Past performance is not indicative of future results. Nothing here is investment advice.
