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Decision-grade research.
For retail investors.

Smart Price Bands. 8-parameter Scorecards. News-driven Notable Events. 81-filter Custom Screener. Portfolio Insights. All free.

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Stock detail page

Everything about a stock. In one place.

Click any stock and get a complete picture — price context, notable events, smart price bands, technicals, financials, peers.

01 / 03
Price chart
& notable events.
Not just a line on a chart. Every significant price move is matched to the corporate announcement that caused it — results, filings, deals. Hover any dot to see matched news, 5-day and 30-day outcomes, and how similar moves played out historically.
Notable events · Filing match · Outcome tracking
Adani Enterprises ADANIENT · NSE
● NSE LIVE
Adani Enterprises Ltd
ConglomerateDiversified
₹2,650
+563.6 (+26.17%) 3M
Mkt Cap
₹3.02L Cr
P/E
72.4×
P/B
6.82×
ROE 5Y
14.2%
D/E
1.24
Div Yield
0.04%
Price Chart · 3M
+563.6 (+26.17%)
● News events (12)
1W1M3M6M1Y
▼ −8.27% in 2 days
2026-01-22
▎Updates
Adani Enterprises Limited has informed the Exchange regarding ‘Intimation For Signing Of Share Purchase Agreement By AMG Media Networks Limited’.
View filing →
Outcome: 5D −3.16% · 30D −4.18%
Past 5 similar ▼ moves avg → 5D −1.9% · 30D +2.7%
Open
₹2,710.2
High
₹2,745
Low
₹2,706.1
Prev Close
₹2,697.6
Smart Price Bands
R:R 0.4:1 · Sell zone
Band Details · ADANIENTScore 72.4 · SELL
Position Score72.4 / 100 — SELL
STRONG BUYBUYFAIRSELLSTRONG SELL
Near-Term TechnicalR:R 1 : 1
₹2,24850-EMA ₹2,482 · BB-L ₹2,310 · BB-U ₹2,880 · ATR14 ₹68.4 · RSI 59.5₹2,963
Fair Value (12M)−18.4% below fair
₹1,920P/E 72.4x · 5y avg 68.1x · sector 42.3x₹3,180
Forward Cone (3M, 95% CI)⚠ earnings near
₹1,680ADV ₹1,842cr/day · earnings ≤14d (wider)₹3,620
Worst 3M Drop (3Y)
−38.2%
vs 3Y High
−24.8%
Peer Group
Conglomerate · 8
8-Parameter Scorecard
vs Communication Services sector
Overall Scorecard
Ranked 12 / 83 in sector
7.2/10GOOD
Growth
Revenue, EPS, OCF
6.0Good
Profitability
ROE, ROCE, margins
8.0Great
Financial Health
D/E, interest cover, FCF
9.0Great
Valuation
PE, PB, EV/EBITDA
8.5Great
Entry Point
RSI, BB, MA distance
8.5Great
Momentum
1M / 3M / 6M / 12M
0.5Poor
Institutional
FII, DII, MF activity
6.5Good
Red Flags
Pledging, auditor, AR
Great
Click any category to reveal the underlying line items
daily intelligence

Never miss a market signal.

Real-time alerts built for investors.

9:41● NSE LIVE
View today's alerts
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stokradar
Alerts
Screens
Portfolio
MF
Today's Alerts
12
across NSE · BSE
Safe Bets
4
high confidence
Top alerts today
INFY
Infosys Ltd
NSE · IT
+8.4%
potential
Bullish breakoutVolume surgeFII buying
Open
₹1,842
High
₹1,901
Low
₹1,836
Target
₹1,996
VLTV
Voltas Ltd
NSE · Consumer
+11.2%
potential
52W breakoutMomentum
Open
₹1,244
High
₹1,328
Low
₹1,238
Target
₹1,384
HDFC
HDFC Bank
NSE · Banking
+6.1%
potential
RSI oversoldMF accum.
Open
₹1,622
High
₹1,658
Low
₹1,614
Target
₹1,720
View alert history
All past alerts · sorted by date
Alert History
Potential returns · entry to peak since alert date
15 May 2026
1 stock · 1 positive
Potential
+7.84%
14 May 2026
9 stocks · 9 positive
Potential
+6.48%
13 May 2026
8 stocks · 8 positive
Potential
+6.22%
12 May 2026
25 stocks · 25 positive
Potential
+6.55%
8 May 2026
4 stocks · 4 positive
Potential
+9.68%
01 · Smart alerts

Day's top alerts.
One tap away.

Every morning, stokradar surfaces the highest-potential NSE opportunities — screened across momentum, volume, technicals and institutional activity. No noise, just signals worth acting on.

Live every market day
02 · Alert history

Every alert.
Every day.

Access every alert stokradar has ever generated — sorted by date, with potential return for each session.

for the deep-divers

Custom Screener · 81 filters.

Build your own screen across valuation, growth, profitability, technicals, shareholding.

Stack any filters across 81 fields. Templates for Buffett-style, Peter Lynch growth, Deep Value, Momentum. Save up to 3 of your own. Click any name to dive into the full stock detail.

Try the screener →
81 Filters · 8 Categories
ValuationGrowthProfitabilityFinancial HealthTechnicalsShareholdingStokradar ScoresDividends
~/stokradar — screener
for mutual fund investors

Honest fund analytics. Beyond the 5Y CAGR.

Rolling returns. Drawdown. Holdings overlap. Peer comparison. Expense impact. Direct growth plans · scored & ranked across 3,000+ funds.

01 · Explore
Fund Sector Distribution.
See exactly which sectors a fund bets on and how concentrated those bets are — before you decide if it fits your portfolio.
How it compares.
Every fund sits next to its closest peers — same sub-category, same benchmark — ranked by expense ratio, Sharpe and our overall score.
Rolling Returns.
A single point-in-time return can mislead. Rolling returns show every historical window since launch — so you see the realistic return cone.
Mirae Asset Healthcare · Sector Distribution5 sectors
Pharmaceuticals76.50%
Labs & Life Sciences22.23%
Diversified Chemicals1.11%
Miscellaneous0.26%
Others−0.11%
Portfolio as of Apr 2026
vs Sectoral & Thematic peers
Fund
Exp
Sharpe
Score
Mirae Healthcare
Mirae Asset
0.47%
0.96
76
BOI Manufacturing
Bank of India
0.62%
0.65
75
Navi Nifty India Mfg
Navi
0.41%
0.90
74
DSP India T.I.G.E.R.
DSP
0.74%
0.58
73
ICICI Pru BHARAT 22
ICICI Pru
0.19%
0.58
72
Rolling Returns (3Y) · 1,193 windows
Worst
14.2%
P25
18.9%
Median
22.8%
P75
29.0%
Best
35.8%
Positive
100%
Beat inflation
100%
Beat 12%
100%
Beat 15%
98.4%
02 · Analytics
Fund Allocation.
See exactly how the fund splits its corpus — across equity, debt, government securities, REITs and cash.
How we rate it.
Every fund gets a scorecard across Performance, Risk, Cost and Consistency — ranked against every fund in the same sub-category.
Expense ratio calculator.
Even a 0.5% difference in expense ratio compounds to lakhs over a decade.
Mirae Asset Healthcare · Asset AllocationApr 2026
Equity98.60%
Cash & Equivalents1.28%
Others0.12%
Scorecardvs Sectoral & Thematic peers
Performance
Great28.0/30
Risk
Good16.5/25
Cost
Great18.0/20
Consistency
Good5.9/10
Overall score: 76 · #1 in Sectoral & Thematic
Expense Ratio Calculator · 0.47% · ₹1L over 10 years
Investment₹1,00,000
Duration10 yrs
Gross return assumed: 12% p.a.
Fund expense ratio: 0.47%
Value with this fund
₹2.98 L
Without expense ratio
₹3.11 L
Cost of fees
₹12,790
Notify me when it's live →
exchange traded funds

ETFs — scored & ranked.

NAV spread · Tracking error · Cost analysis · Exchange traded funds on NSE.

Scorecard#1 in Sectoral ETF
Overall
95/100
#1 in Sectoral ETF · Nifty Healthcare
PerformanceGreat
1Y return rank vs sub-category peers
30.0/35
CostGreat
Expense ratio vs category peers
24.9/30
LiquidityGood
Daily traded value — easier to buy/sell
14.5/25
MomentumGood
30D return rank vs peers
6.1/10
01 · ETF Analysis
Premium vs
Discount to NAV.
An ETF's market price can drift from its actual NAV. Track historical premium/discount spread — small oscillations are normal, persistent spikes above 1% signal liquidity gaps or arbitrage opportunities.
How we
rate it.
Every ETF scored across Performance, Cost, Liquidity and Momentum — ranked against every ETF in the same sub-category. No guesswork. Just a single number that tells you exactly where it stands.
your portfolio

Portfolio X-Ray. All in one panel.

Four lenses · one screen. Click any tile to bring it into focus — diversification, stock ranking, risk & red flags, vs Nifty.

01 / 04
Diversification.
Five honest dimensions.
Score out of 100 across position spread, sector mix, market-cap balance, geography and asset class. Diagnosis tells you exactly what is dragging the score — then move sliders to see simulated improvement live.
◆ Score 67 · diagnosis · simulator
stokradar · Portfolio X-Ray
LIVE · ₹14.82 L

Diversification. 5 honest dimensions.

◆ score · diagnosis · simulator

Position spread · sector mix · market-cap · geography · asset class. Move sliders below to simulate your improved allocation.

POSITIONSECTORMKT-CAPGEOASSET
67
/ 100
FAIR
Position Spread72
Sector Mix58
Market-Cap Balance81
Geography42
Asset Class62
Heavy India-equity tilt — 91% in IN equity drags geo & asset-class scores.
Add 8% intl + 4% gold → simulated 79 / 100
IN Eq60%
Intl Eq18%
Debt12%
Gold6%
◇ Stock Rank
Valuation × Growth
24 STOCKS
T1+T2 11
Watch 7
Avoid 3
⚠ Risk & Flags
3 risks · 3 active flags
−₹4.2K NET
Overlap
18%
Fees
₹12.4K
Harvest
₹8.2K
RELIANCEPromoter pledging up +3% MoM2d
▲ vs Nifty 50
Index benchmark
+4.1%
1 Year
+12.4%
vs +8.3%
3 Year
+18.6%
vs +14.2%
Beyond Borders

We don't stop
at India.Neither should you.

India is where we started. It's not where we end. Track US stocks & ETFs alongside your Indian portfolio — same scorecards, same alerts, same depth. London, Tokyo, Seoul, Hong Kong — in the pipeline.

INDIAHOMEUSAUKJPHKKR
NIFTY 50 · LIVE
5,400+ stocks +0.6%
S&P 500 · LIVE
11,000+ stocks/ETFs +0.8%
LSE · SOON
FTSE 100
TSE · SOON
Nikkei 225
HKEX · KRX · SOON
Hang Seng · KOSPI
Introducing
ATLAS
Your personal AI engine — curated around your goals, risk and time horizon.
01 · WHAT IS ATLAS
A conversation, not a filter
ATLAS has a conversation with you, understands where you are in life, and builds a personalised basket of stocks around your actual goal.
03 · WHAT MAKES IT DIFFERENT
Every pick comes with a reason
The fundamentals, the growth story, why it fits your goal. When markets shift, ATLAS rebalances and tells you exactly why.
atlas · portfolio engine
02 · HOW IT WORKS
Tell it your goal. Plain language.
ATLAS analyses thousands of stocks, weighs your timeline and risk appetite, and assembles a focused basket for you.
04 · BUILT FOR YOUR LIFE
Not a template. Built for you.
Your basket isn't generic. It's shaped around your goal, timeline, risk appetite. Every investor gets a different basket.
what's covered

Everything an Indian investor cares about.

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Indian Stocks
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Mutual Funds
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Indian ETFs
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US Stocks & ETFs
learn the craft

Every concept on stokradar. Explained plainly.

From the basics of stocks and mutual funds to how every score, band and screen on the site is built. Real Indian-market examples, no jargon.

66Articles
8Categories
163Glossary terms
ISTUpdated weekly
SELL ZONEFAIRBUY ZONE
ETFsNEWThis week6 min
Premium & Discount to NAV — when an ETF trades away from its real value
An ETF’s market price and its NAV are two different numbers. Usually they hug within 0.1%. When they don’t — persistent premiums above 1%, sustained discounts, freeze-driven spikes of 10%+ — that’s a signal, sometimes an opportunity, often a tax you’re paying for no reason.
Updated May 24, 2026Notify me →
US StocksNEW
7 min
Currency Risk in US Investing — what a falling INR really does
Your US portfolio is a two-bet trade — the stock AND the rupee.
Using stokradar
9 min
Smart Price Bands — how we replace the 52W range
Three independent bands: technical, fair-value, forward cone.
Mutual Funds
6 min
Rolling Returns — why a single 5Y CAGR lies
Read every overlapping window instead of one number.
Browse all 8 categories
Getting Started
7 articles
Stocks
14 articles
Mutual Funds
11 articles
ETFs (India)
7 articles
US Stocks
5 articles
US ETFs
4 articles
Portfolio
7 articles
Using stokradar
11 articles
A→Z
The Glossary · 163 terms
Every investing term used across the site — searchable, with deep-dive links to the relevant article.
Notify me →
COMING SOON
The future of investing.
Real-time alerts, smart screeners, honest analytics — built around the investor, not the broker.