From a ticker to a connected understanding of the market
A ticker is the short symbol that identifies a security on an exchange, such as a stock, an exchange-traded fund or another instrument. On its own, that code explains neither the company nor its market nor the risks held in a portfolio.
AInvestor connects that starting point with the company profile, financial statements, ratios, peers, news and market sentiment. Sentiment summarizes the observable tone of selected sources; it is neither a fundamental fact nor a forecast of the next price movement.
A platform built for learning by doing
Reading a definition is not always enough to understand a balance sheet, margin or valuation multiple. AInvestor places explanations close to the data and lets users revisit the same company across several horizons. They can observe, compare and progressively investigate further.
Snapshot structures financial facts, Gauge 360 exposes dimensions and drivers, Core explores relationships in greater depth, and Brainier explains vocabulary, results and limitations. This workflow turns research into a learning exercise rather than a collection of disconnected numbers.
By organizing and connecting financial information, AInvestor reduces manual research and helps users understand more quickly before making their own informed, independent decisions.
An accessible entry point to financial analysis
Large specialized platforms can provide considerable depth, but their cost, terminology and numerous screens may create a barrier for someone who is learning. AInvestor aims to bring essential research steps into one bilingual, guided and coherent experience.
Beta access is currently free. Future plans and prices may change, so AInvestor does not claim to replace every professional terminal or to always cost less than every platform. Its intended advantage is accessible, structured research without requiring learners to immediately assemble several specialized subscriptions.
Explain the method without deciding for the user
AInvestor separates observed data, deterministic calculations and artificial-intelligence-assisted interpretation. Sources, freshness, confidence and missing information should remain visible so users can verify what they learn.
The educational profile may adjust explanation depth and wording. It is not used to determine that an investment is suitable, alter scores according to risk tolerance or produce a personalized buy or sell recommendation.
From one security to a complete portfolio
Learning does not stop at one company. Peer comparisons place measures in their sector, while portfolio analysis illustrates concentration, diversification, currencies and contributions to results.
This continuity helps self-directed investors develop a repeatable method: identify facts, understand ratios, compare similar contexts, recognize limitations and document their own thinking.