Now in early access · portfolynx.com

Your portfolio,
in sharp focus.

One dashboard for your MF, stocks, ETFs, and US equity. Macro-aware rebalancing that tells you what to buy, sell, or hold — and exactly why.

Get early access 🐾 See features →
56+
Holdings tracked
7
Asset classes
₹1.5Cr
Portfolio modelled
Live
Macro signals
How it works

Three steps to a perfectly balanced portfolio

No complexity. No jargon. Just clarity on what you own, what you should own, and how to get there.

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Import your portfolio
Upload your MF statement, equity holdings, and broker reports. Portfolynx reads them all automatically.
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See the full picture
One view across MF, stocks, ETFs, and US equity. Every gain, every drift, every imbalance spotted instantly.
Get your plan
Macro-aware targets, always-balanced sliders, and plain-English explanation of every recommended move.
Features

Everything your portfolio needs

Built for Indian investors who manage ₹25L+ and want to think, not just track.

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Sharp-eyed portfolio view
Every holding across MF, Indian stocks, ETFs, and US equity in one dashboard. No more spreadsheets.
Always-balanced rebalancer
Drag any slider and others adjust automatically. Always sums to 100%. Get exact rupee amounts to act on.
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Macro-aware commentary
Know how the Iran deal affects your gold ETF. What the RBI rate cycle means for your debt allocation.
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Import from your files
Upload your MF XLS and equity statement. Portfolynx builds your portfolio automatically.
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Plain-English reasoning
Every BUY, SELL, and TRIM comes with a clear explanation. Logic you can understand and act on.
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Drift alerts
Get notified when any segment drifts 3% or more from your target. Stay balanced without watching charts.
Macro Intelligence
Markets move.
Portfolynx sees why.
Most tools show you numbers. Portfolynx connects those numbers to the world and to your specific holdings.
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Iran Deal: Hours Away
Brent at $98, down 8%. Gold has a 10-15% correction risk if the Iran deal closes. Do not add more yet.
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RBI at 5.25% — Bond Bull
Near-zero debt exposure despite a 150bps rate-cut cycle. The biggest missed trade for equity-heavy investors.
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India-US Trade Deal
Tariffs 50% to 18%. Renewable energy and SMID funds are direct beneficiaries.
🔴BEARISHUS-Iran War + Strait of Hormuz
Oil at $98. Inflation risk elevated globally.
🟢BULLISHIndia-US Trade Deal Confirmed
Tariffs 50% to 18%. FII return catalyst. SMID re-rating ahead.
🟡WATCHRBI Repo at 5.25%
CPI 3.48%. If Iran deal closes, oil falls, RBI cuts again, bonds rally.
🟢HOLDGold at $4,600 — Do Not Add Yet
Deal-close risk means 10-15% correction possible. Wait for clarity.
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