An Innovative Business Solution for Stocks Screening & Portfolio Management

Trading without trade-offs Invest with your Ethics and Values

Trade on your schedule, not the market’s

Take on the market with our platform to trade in pre & post market hours

Regular market hours overlap with your busiest hours of the day. Now access the markets when it’s most convenient for you


Platform Main Features

Financial Analysis of Stock

Use “The Zeal” to envision your investment risk & return. Analyze the equities in a depth using both the Technical as well as Fundamental Analysis along with the financials to crack the inside out by using our technologically evolving state of the art software for efficient asset allocation.

Portfolio Management & Monitoring

Use our portfolio management platform to manage your portfolio. Now with our state-of-the-art platform designed on modern portfolio theory, define your own portfolio strategies based on fundamental or technical indicators or by combining both. Manage multiple portfolios in a single view to analyze risk and return.

Order Management

From buy to sell
Create, verify and place your order
Place your order (Market, Limit, stop limit, stop percentage, market close)
Manage your order (alter/change, delete, cancel)

Values, Ethics & Faith based investment

Invest in line with your faith. Use one of the shariah defined world-renowned screening standards (AAOIFI, DJIM, S&P, MSCI, KMI, etc.) available globally to filter the equities along with Custom defined methodology provided by Shariah Board of the customer.

“Portfolio theory, as used by most financial planners, recommends that you diversify with a balance of stocks, bonds, and cash that’s suitable to your risk tolerance.”

Volatility and risk are one of the realities of investing. They cannot be avoided entirely, but investors can reduce the impact on their portfolios. Diversification is the most effective way to reduce most types of risks and volatility. The more a portfolio is diversified across different asset classes and strategies, the more volatility can be reduced.


Risk and Volatility

Past performance does not guarantee future performance.
Risk and Rewards are associated with each other. The higher the risk the higher the reward,
history is no guarantee of future performance.
“Diversifying sufficiently among uncorrelated risks can reduce portfolio risk toward zero.”
Harry Markowitz


Realized and Un-Realized gain

Monitor your realized, unrealized and total gian on real time basis


Co-Variance Matrix

“To reduce risk it is necessary to avoid a portfolio whose securities are all highly correlated with each other.”
Harry Markowitz

Certified Partner That You Can Trust