FII Net +₹5,842 Cr DII Net -₹1,230 Cr GIFT NIFTY 25,140 VIX 12.8 ▼ 0.6 Global Risk 42 Crude Oil $86.2 Last Signal 0.3s ago Positioning Bullish Alerts 2 new
Looking for something else?
NIFTY ▲0.64 BANKNIFTY ▼0.18 NASDAQ BRENT USDINR GOLD BITCOIN FII BUYING DII SELLING GIFT NIFTY SGX VIX US 10Y DXY Copper Baltic Index NIFTY ▲0.64 BANKNIFTY ▼0.18 NASDAQ BRENT USDINR GOLD BITCOIN FII BUYING DII SELLING GIFT NIFTY SGX VIX US 10Y DXY Copper Baltic Index
MUTUAL FUND ANALYTICS

Don't Just Hold Funds. Understand Them.

Most platforms show you a NAV chart and call it research. Stock360s shows you the portfolio beneath the fund — what the manager actually owns, how concentrated it is, how it correlates with the rest of your portfolio, and whether the expense ratio is justified by alpha generation.

  • Rolling returns across 1Y / 3Y / 5Y / 10Y horizons
  • Manager conviction, portfolio turnover and overlap analysis
  • Expense ratio benchmarking against category peers
  • SIP planner with goal-based scenario modelling
Unlock Fund Analytics
HDFC Flexi Cap Fund Flexi Cap
1Y+18.4%
3Y+15.2%
5Y+13.8%
Expense1.42%
Top Holdings
  • HDFC Bank8.2%
  • Reliance6.4%
  • ICICI Bank5.1%
  • Infosys4.7%
ETF ANALYTICS

ETFs With Real Liquidity Intelligence.

An ETF is only as good as its liquidity. Stock360s tracks iNAV, premium/discount to NAV, average spread and impact cost — so you know whether the ETF you're buying will actually trade close to fair value when you need to exit. We also surface sectoral and thematic ETFs that match your existing portfolio gaps.

  • Live iNAV vs market price tracking
  • Premium / discount alerts on entry and exit
  • Liquidity score with impact cost modelling
  • Thematic ETF screener (AI, infra, defence, green energy)
Unlock ETF Analytics
NIFTYBEES Nifty 50 ETF
Market Price₹ 248.32
iNAV₹ 248.41
Premium-0.04%
Liquidity Score
88 / 100
  • AUM₹ 14,200 Cr
  • Spread0.02%
  • 1Y Return+14.8%
BOND ANALYTICS

Fixed Income, Finally Made Clear.

Bonds are where institutions park billions — and where most retail investors have zero visibility. Stock360s demystifies G-Secs, SDLs and corporate bonds with yield-to-maturity, duration, modified duration and credit spread analytics, so you can build a real fixed-income ladder instead of relying on FDs.

  • G-Sec, SDL and corporate bond analytics
  • Yield curve, duration and convexity visualisation
  • Credit spread tracking vs risk-free baseline
  • Bond ladder builder with staggered maturities
Unlock Bond Analytics
10Y G-Sec Government Bond
Yield to Maturity 7.02%
  • Duration7.8 yrs
  • Mod. Duration7.2 yrs
  • CreditSovereign
  • Spread vs Fed+2.8%
PUBLIC DISCLOSURES

Follow the Smart Money.

Track the holdings of India's most successful investors based on public shareholding data. See conviction, allocation changes and new entries before quarterly earnings season.

RK

Rakesh Jhunjhunwala Estate

Portfolio Value: ₹34,000 Cr
  • Titan 12.8%
  • Star Health 8.2%
  • Aptech 6.5%
Source: SEBI filings • Dec 2024
RD

Radhakishan Damani

Portfolio Value: ₹22,000 Cr
  • DMart 18.5%
  • VST Industries 4.2%
  • IndiaBulls 3.1%
Source: SEBI filings • Dec 2024
AS

Ashish Kacholia

Portfolio Value: ₹2,800 Cr
  • APL Apollo 3.4%
  • Mastek 2.8%
  • Vinati Org 2.1%
Source: SEBI filings • Dec 2024
RISK & DIVERSIFICATION

See Your Portfolio's Hidden Concentration.

You may own 12 stocks across 5 sectors — but if 4 of them depend on the same supplier, the same crude price and the same dollar cycle, you don't have diversification. You have the illusion of it. Stock360s maps real correlation beneath the surface.

CONCENTRATION Elevated

Top 5 holdings = 68% of portfolio

Your top 5 positions account for 68% of total portfolio value. Consider trimming concentration or adding uncorrelated assets.

CORRELATION Healthy

Average pairwise correlation 0.42

Your holdings are not over-correlated. Adding gold or a sovereign bond ETF would further reduce drawdown risk.

YIELD GAP Opportunity

Equity yield vs bond yield: 1.8%

The equity risk premium is below its 10Y average. Adding 10Y G-Secs at 7.02% would lock in yield while reducing portfolio volatility.

LIVE STOCK INTELLIGENCE

One Stock. Every Angle.

A complete research workflow for every NSE & BSE listed company — fundamentals, technicals, institutional flow and supply chain collapsed into a single conviction score so you can decide in minutes, not hours.

Top Gainers
HDFC +5.2% TCS +4.8% INFY +4.1% ITC +3.6%
Terminal
NIFTY 24,500 ▲ BANKNIFTY 52,300 ▼ RELIANCE 2,850 ▲
Sector Rotation
IT ▲ Bank ▼ Energy ▲ Metal ▼
FII / DII Flow
FII +₹5,842 Cr DII -₹1,230 Cr
FUNDAMENTALS

Fundamentals That Actually Matter.

Most platforms dump 200 fundamental ratios on you and call it research. Stock360s surfaces the 12 metrics that institutional analysts actually use — ROCE, ROE, free cash flow yield, EV/EBITDA, promoter pledge, contingent liabilities — with 10Y history and peer benchmarking built in.

  • ROCE, ROE, EV/EBITDA, FCF yield with 10Y history
  • Peer benchmarking against direct and adjacent competitors
  • Promoter pledge, contingent liabilities and related-party flags
  • Quarterly trend analysis (YoY and QoQ) with anomaly detection
Unlock Fundamentals
TCS IT • Large Cap
  • ROCE68.4%
  • ROE52.1%
  • EV/EBITDA21.8
  • FCF Yield4.2%
  • Promoter Pledge0%
  • Debt/Equity0.08
ROCE 10Y Trend
TECHNICAL ANALYSIS

Technicals Without the Noise.

Candlesticks, indicators, multi-timeframe analysis and market structure — without the charting-software overwhelm. Stock360s highlights the three things that matter on any chart: trend direction, key levels and momentum confirmation, then translates them into a single readable signal.

  • Multi-timeframe trend alignment (1D / 1W / 1M)
  • Auto-detected support / resistance with confluence scoring
  • RSI, MACD, VWAP and Bollinger Band state in one glance
  • Market structure breaks (BOS / CHoCH) auto-flagged
Unlock Technicals
RELIANCE 1D • Bullish
  • Trend (1W)Bullish
  • RSI (14)62.4
  • StructureBOS
  • Key Support₹ 2,720
  • Key Resistance₹ 2,890
  • MomentumConfirmed
INSTITUTIONAL ACTIVITY

See What Institutions Are Doing Right Now.

FII and DII flow, bulk and block deals, sectoral rotation and promoter activity — tracked in near real-time and translated into a single institutional conviction score per stock and per sector.

FII FLOW LIVE
+₹ 5,842 Cr
Net cash market buying today
  • IT+₹ 1,820 Cr
  • Energy+₹ 1,240 Cr
  • FMCG+₹ 840 Cr
  • Banking-₹ 410 Cr
DII FLOW LIVE
-₹ 1,230 Cr
Net cash market selling today
  • Banking-₹ 680 Cr
  • Metal-₹ 420 Cr
  • Pharma+₹ 180 Cr
  • Auto+₹ 90 Cr
BLOCK DEALS TODAY
  • HDFC BANKBUY ₹ 412 Cr
  • INFYBUY ₹ 280 Cr
  • TATA STEELSELL ₹ 195 Cr
  • ITCBUY ₹ 124 Cr
SUPPLY & DEMAND INTELLIGENCE

Find Earnings Risk Before the Quarter.

Real-world events move stocks before they show up in financials. Container shipping rates, crude tanker routes, semiconductor supply, weather disruptions and regulatory changes — Stock360s tracks the supply chain signals that impact your stocks weeks before they hit quarterly earnings.

  • Supplier dependency mapping for top 500 companies
  • Commodity input tracking (crude, steel, copper, semiconductors)
  • Geopolitical and weather disruption alerts
  • Pre-earnings risk scoring with confidence intervals
Unlock Supply Chain
RELIANCE Supply Risk Detected
  • Crude OilMiddle East tension ▲
  • ShippingFreight +12% ▲
  • Refining MarginStable
  • Petrochem Demand+4.2% QoQ
Earnings Risk Score 62 / 100

Supply chain signals suggest a 62% probability of a downside earnings surprise next quarter. Reduce position or hedge accordingly.

SCREENER

Find the Next Stock in Seconds.

Pre-built institutional screens plus a fully custom screener. Filter by fundamentals, technicals, institutional flow, supply chain signals and conviction score — then save and alert on your screen so you never miss a fresh match.

  • 24 pre-built institutional screens (magic formula, momentum, quality)
  • Custom screener with fundamentals + technicals + flow + supply chain
  • Save screens and get alerts on new matches
  • Export to CSV with one click
Unlock Screener
Momentum + Quality Screen 12 matches
  • HDFC BANK88
  • TCS82
  • INFY79
  • ITC76
  • RELIANCE74
  • BAJFINANCE71
ROCE > 15% 1W Trend = Bull FII Net > 0
MARKET INTELLIGENCE CANVAS

A Terminal Built for Decisions, Not Distractions.

Price. Structure. Liquidity. Order flow. Options. Confluence. Six layers of market intelligence, layered onto one canvas, telling a single story: where the market is actually going next.

Price Structure Liquidity Order Flow Options Confluence
PROFESSIONAL CHARTING

Watch the Indicators Layer In.

Candles, EMA, VWAP, market structure, support/resistance, Fibonacci, ORB and liquidity zones — layered one at a time so you see exactly how the setup builds, not just the final chart.

Each indicator layers in as you scroll — the same way a real trader builds conviction. Price first. Structure second. Levels third. Then the breakout signal becomes obvious.

ORDER FLOW & MICROSTRUCTURE

What's Beneath the Candle.

A bento of professional-grade tools — footprint, volume profile, DOM, big-trade tape, absorption, institutional walls and GEX — so you see who is actually lifting the tape before price reacts.

FOOTPRINTLIVE

Bid absorption at 24,560 — sellers unable to push through.

DEPTH OF MARKETLIVE
  • 12,40024,575
  • 8,20024,570
  • 4,80024,565
  • SPREAD24,560 / 24,562
  • 3,20024,562
  • 6,40024,565
  • 18,60024,570

Institutional wall at 24,570 — 18,600 lots resting ask.

VOLUME PROFILELIVE

POC at 24,560 — highest accepted value today.

BIG-TRADE TAPELIVE
  • 14:32:18NIFTY2,400BUY
  • 14:31:42BANKNIFTY1,800SELL
  • 14:30:55NIFTY3,200BUY
  • 14:29:12FINNIFTY1,200BUY
  • 14:28:33BANKNIFTY2,600SELL

Tape imbalance: +62% buy-side in last 5 min.

FROM CONCEPT TO REALITY
LIVE stock360s.com/terminal/market-flow
Stock360s Market Flow and Order Bento

The world's first quant intelligence platform for retailers. We expose the hidden mechanics: Order Flow, Liquidity Voids, and Real-time Microstructure. No other platform provides this depth.

OPTIONS WORKSTATION

GEX, PCR, Max Pain and the Walls Behind Them.

The full options intelligence suite — Gamma Exposure, Put-Call Ratio, Max Pain, IV skew, call and put walls — translated into a single directional bias that even a non-options trader can read in 5 seconds.

GAMMA EXPOSURE (GEX) +2.4 Cr

Positive GEX = stabilising. Dealers buy dips, sell rips. Volatility suppressed near 24,600.

OPTIONS CHAIN — NIFTY LIVE
Call OIStrikePut OI
1,24024,4005,820
8,42024,5003,180
6,84024,6007,920
2,18024,7004,620
98024,8003,420

Call wall at 24,500 (8,420 OI) caps upside. Put support at 24,600.

DIRECTIONAL BIAS BULLISH 68%
  • PCR1.18Bullish
  • Max Pain24,500Pin risk
  • IV Skew+2.4Elevated
  • Call Wall24,500Resistance
  • Put Wall24,600Support
  • Futures Basis+8.4Contango

Confluence of PCR, GEX and put wall suggests a 24,600–24,500 range with upside bias on break.

QUANT CONFLUENCE & EXECUTION

Six Signals. One Decision.

Multi-factor confluence scoring, position sizing, broker execution and a strategy builder with backtesting — so the analysis you've just seen actually becomes a trade you can take with conviction.

CONFLUENCE SCORE
82 / 100
  • Price Structure+14
  • Liquidity Sweep+12
  • Order Flow+16
  • GEX / Options+10
  • Vol Profile+12
  • S/R Confluence+18
POSITION SIZING
  • Account Size₹ 5,00,000
  • Risk Per Trade1.0%
  • Risk Amount₹ 5,000
  • Entry24,560
  • Stop24,490
  • Target24,820
  • Position Size7 lots (105 Qty)
  • Risk : Reward1 : 3.7
EXECUTION
  • ZerodhaConnected
  • UpstoxConnected
  • Angel OneAvailable
  • ICICI DirectAvailable
Order Types
  • Market
  • Limit
  • SL
  • SL-M
  • Bracket
  • Cover

One-click execution with auto SL and TP bracketing.

F&O SCANNER
  • NIFTYORB Breakout82
  • BANKNIFTYLiquidity Sweep76
  • RELIANCEGEX Flip64
  • HDFC BANKAbsorption71

Live F&O scanner with strategy builder and backtesting.

MEET THE TEAM

Your Intelligence Team

Three AI-powered assistants that work 24x7 so you don't have to — exclusive to the Professional Plan

LIVE
Entry24,560
Target24,850
Stop24,320
StatusBUY

Kohinoor

Spots the breakout before the crowd piles in.

  • Breakout scanner
  • Accumulation flags
  • Probability entries
  • Sector rotation
  • Momentum + volume
Professional Only
LIVE
Risk12.4%
Monte Carlo65%
ETF +3%   Rec: NIFTYBEES +7%
Stock▼ -2%   Rec: TVS Motors +4%
Bonds➞ 0%   Rec: 10Y G-Sec ➞ 9%
Mutual Fund +1%   Rec: HDFC FlexiCap +8%

Hanuman

Weighs every risk so you don't have to guess.

  • F&O expiry dynamics
  • Unusual options activity
  • Real-time hedges
  • IV skew & dealers
  • Gamma squeezes
Professional Only
GEOPOLITICAL
America drops bomb in Iran
Market Impact▼ 1.8%

Tracker

Never sleeps. Never misses a shockwave.

  • FII/DII flow
  • Global macro correlations
  • Divergence alerts
  • Sentiment shifts
  • Liquidity heatmap
Professional Only
Unlock All Assistants Now

Available only on the Professional Plan — cancel anytime.

The Numbers Behind The Intelligence

0Market Data Points
0Global Sources
0Markets
0Countries
0Asset Classes
0Live 24x7

Choose The Level Of Intelligence You Need

⏳ Only 127 spots left at this price
📈 Next price increase in 5d 08h 15m
👥 47 users joined today

Starter

₹499 /month + GST

  • Screener + Basic Charts
  • Fundamentals & Key Metrics
  • Full Companies Access
  • FII/DII tracker
  • No Backtesting
  • No AI Insights

Growth

₹899 /month + GST

  • All Starter offerings
  • Full Stock Universe
  • Deep Analysis (YoY, QoQ)
  • Advanced Charts
  • Investment Thesis
  • No Backtesting Engine
  • No Hanuman, Kohinoor, Tracker

Need A Custom Solution?

Multi-user access, custom dashboards, and dedicated support for teams.

Affiliate Program

Earn upto ₹200 for Every Subscriber
You Refer to Stock360s

Share your unique link with followers, friends, or your audience. When they buy any paid plan, you earn real cash — paid directly to your bank account or UPI. No limits.

Earn upto ₹200 per sale
📊Real-time dashboard
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Unlimited referrals
Join us as an Affiliate — It's Free

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Get in touch for exclusive access or custom solutions.

Frequently Asked Questions

Everything you need to know about Stock360s — the AI-powered stock market intelligence platform

Stock360s is an AI-powered stock market intelligence platform that closes the gap between retail traders and institutional investors. It uses the proprietary EDGE Framework — Enrichment, Detection, Generation, and Execution — to analyze real-time FII/DII data, options chain metrics, supply chain intelligence, and alternative data signals to generate actionable trading insights.

Unlike conventional charting tools, Stock360s focuses on the intelligence gap — the difference in data quality between institutional and retail traders. It tracks real-time institutional flow, options chain positioning, open interest shifts, supply chain disruptions, and global macro signals in a unified dashboard. Most platforms show you what happened; Stock360s shows you what institutional money is doing right now.

Yes. Stock360s tracks FII and DII activity in near real-time — including cash market buys/sells, futures long/short buildup, options writing activity, and bulk/block deal data. The command center dashboard highlights whether institutions are accumulating, distributing, or hedging specific stocks and indices.

Yes. New users get a free trial with access to the command center dashboard, basic FII/DII data, limited options chain analysis, and educational content. No credit card required. Upgrade anytime to unlock full intelligence features.

Stock360s offers a Starter plan (₹499/mo, basic institutional data, EOD analysis), a Growth plan (₹899/mo, full stock universe with deep analysis), a Professional plan (₹1599/mo, real-time signals, full options analytics, supply chain intelligence and AI assistants), and an Enterprise plan (custom feeds, API access, dedicated support). All plans are available monthly or annually.

Yes. Stock360s is fully responsive and works on mobile browsers (Safari, Chrome). The dashboard, options chain, signals, and analytics are optimized for mobile screens. A persistent intelligence ticker provides real-time data while scrolling. A dedicated mobile app is planned.

Stock360s operates as a data analytics and intelligence platform, not a personalized investment advisor. It provides data, tools, and informational content — not individualized recommendations or portfolio management. As such, it does not require SEBI RIA registration. Users should consult SEBI-registered advisors for personalized advice.

Stock360s accepts UPI (Google Pay, PhonePe, Paytm, BHIM), credit/debit cards (Visa, Mastercard, RuPay), net banking from all major Indian banks, and popular wallets. Enterprise plans support bank transfers (NEFT/RTGS) and invoicing. All payments are processed through PCI-DSS compliant gateways.

Yes. Cancel anytime from account settings. You retain access until the end of your billing cycle. No partial refunds for unused days. Your data and preferences are preserved if you resubscribe later. Annual plan users maintain access until the annual period expires.

Stock360s uses AES-256 encryption at rest, TLS 1.3 in transit, bcrypt password hashing, optional 2FA via authenticator apps, session timeout, and regular security audits. No brokerage credentials or card details are stored on servers. Payments go through certified gateways. User data is never sold or shared.

Yes. Stock360s lets you compare any mutual fund against direct peers and adjacent categories. You get rolling returns, expense ratio, portfolio overlap, manager conviction and AUM concentration — side by side, with category rank and benchmark alpha.

For every ETF listed on NSE, Stock360s provides live market price, iNAV, premium/discount, AUM, average spread, impact cost, 1Y/3Y/5Y returns and a liquidity score. Thematic ETFs (AI, infra, defence, green energy) are also screenable.

Yes. Stock360s covers G-Secs, SDLs and corporate bonds with YTM, duration, modified duration, convexity and credit spread analytics. You can build a staggered bond ladder and stress-test it against rate changes.

For every NSE & BSE listed company: ROCE, ROE, EV/EBITDA, P/E, P/B, free cash flow yield, debt/equity, promoter pledge, contingent liabilities, EPS growth, dividend yield — all with 10Y history, peer benchmarking and quarterly trend analysis.

Stock360s tracks FII and DII activity in cash market, F&O and currency derivatives — including bulk and block deals — in near real-time. The flow is aggregated per stock, per sector and per market cap bucket, then translated into a single institutional conviction score.

Use 24 pre-built institutional screens (magic formula, momentum, quality, GARP) or build a custom screen combining fundamentals, technicals, institutional flow and supply chain signals. Save your screen to get alerts when new stocks match.

GEX measures the gamma exposure of options market makers per strike. Positive GEX means dealers will stabilise price (buy dips, sell rips). Negative GEX means dealers will amplify moves. Stock360s calculates GEX from the live options chain, spot price and implied volatility — updated continuously during market hours.

Footprint analysis shows the volume traded at the bid vs the ask inside each candle. It reveals whether buyers or sellers were more aggressive at each price level, exposing absorption, exhaustion and initiation before the candle closes.

Yes. Stock360s provides a full options chain with OI changes, GEX, PCR, max pain, IV skew, call/put walls, moneyness tracking, a strategy builder, backtesting and paper trading. Connect a supported broker (Zerodha, Upstox, Angel One, ICICI Direct) for one-click execution with auto SL and TP bracketing.