Professional-grade analytical tools and market data resources. We believe sophisticated research capabilities should be accessible to everyone, not just institutional investors.
Professional-grade market data usually costs thousands per month. We think that's backwards – good information should improve decision-making, not limit it to those who can afford expensive subscriptions.
Our Market Data Explorer aggregates information from multiple sources into a single, navigable interface. Whether you're tracking sector rotation, analyzing correlations, or researching economic indicators, the tools work the same way for everyone.
The platform goes beyond basic charts to include analytical features normally found only in institutional research systems. Correlation matrices, pattern recognition, and historical comparisons help reveal relationships that simple price charts miss. The goal is democratizing sophisticated analysis without requiring advanced technical skills.
See how different investments move together across any timeframe you choose
Spot recurring trends and seasonal patterns using decades of historical data
Compare performance across UK equity sectors and international benchmarks
These tools bridge the gap between basic market information and professional research capabilities. Each one addresses a specific analytical need while maintaining the straightforward approach that makes sophisticated analysis accessible to non-professionals.
Key UK and global indicators with historical context and trend analysis. Track inflation, employment, GDP growth, and monetary policy in real-time.
Identify hidden risks and measure true diversification in your investments. Understand how different assets interact during various market conditions.
Track policy changes affecting different sectors before they hit mainstream news. Stay ahead of regulatory shifts that impact market valuations.
Gauge market psychology through multiple indicators and historical patterns. Understand when optimism or fear reaches extreme levels.
Understand how exchange rates affect international investments for UK-based portfolios. Model currency risk scenarios and hedging strategies.
Spot emerging trends in institutional capital flows and investment themes. Identify which sectors gain or lose favor during different economic cycles.