This is a tool for building your own investor sense, not a tip line. It follows one simple pattern, watches it honestly, and shows you the reasoning behind every name so you can decide for yourself. Hand it to anyone. The whole point is that you learn to see it too.
People with a close view of policy and industry file their stock trades publicly. When several of them independently buy the same name, that is a signal worth looking at, not blindly copying. We track those names forward from the day we started (Jun 24), with a live gain or loss, so there is no cherry-picking old winners.
Tap any pick and you get four honest sections: Why it could pop (runway, momentum, insider backing, history), Historical trend (the 3-year backtest plus how it is moving now), Risks (whatever actually applies, falling now, broken trend, negative history, thin support, high volatility, already up big), and Mitigation (how to be smart about it). No name gets sold to you without its risks in plain sight.
The Strategy tab asks two things, your horizon and your risk appetite, and builds a best-fit starter set spread across sectors, with the reasoning. A long-horizon conservative gets steady compounders. A short-horizon aggressive gets pure momentum. There is no single right answer, there is the one that fits you. Then paste anyone's portfolio code and compare side by side.
Everything here runs on structured data, refreshed on a schedule, no login and no personal info leaving the page. Your portfolio saves in your browser and copies to a shareable code. Build it, hand it off, compare it, and let the reasoning speak. A screen for ideas, always.