Financial Analysis Platform

Free tools for financial analysis
quantitative, rigorous, ready to use

Seven quantitative finance tools — portfolio optimisation, derivatives pricing, capital structure, risk analysis and more — powered by market data from NSE, NYSE & Nasdaq. Browser-based, rigorous, and ready to use.

🎁 7-day Premium Trial  ·  No credit card required
Premium Trial — sign in required → See the tools ↓ Always Free — no sign-in →

From ₹1,499 / year after trial  ·  All 7 tools free to use, always

7
Interactive Finance Tools
S&P · NSE · FTSE
+ Eurostoxx, KOSPI & more — multiple exchanges worldwide
1,499
Per year, all tools included
What's inside

Seven tools + market data

From the efficient fronMode to Black-Scholes — the quantitative toolkit that professionals and analysts rely on, in one platform.

★ Hero tool
Markowitz Portfolio Optimiser
Construct the efficient fronMode · Minimum variance portfolio · Tangency & Sharpe ratio
Portfolio theory
Efficient FronMode  ·  Expected Return E(R) vs Portfolio Risk σ
💰
NPV · IRR
Capital Budgeting
Compute NPV, IRR, Payback and Profitability for your projects. Run sensitivity analysis on the NPV profile across Cash Flows, duration, and Discount Rate. Download results to PDF.
⚖️
Financing decisions
EBIT-EPS Analysis
Compare equity and debt financing across EPS outcomes at different EBIT levels. Identify the indifference point visually and analytically.
🏗️
Leverage & WACC
Capital Structure Analysis
Evaluate how leverage affects WACC and firm value. Compare unlevered and levered firm scenarios under different capital structure assumptions.
📉
Risk analytics
Value at Risk Analysis
Quantify potential portfolio losses at a given confidence level. Understand downside risk exposure using industry-standard VaR methodology.
Fundamentals
Time Value of Money
Compute present and future values, annuities, perpetuities, and loan amortisation. The foundational tool underlying every finance calculation.
💹
Derivatives
Option Pricing
Calculate option prices using Black-Scholes and Monte Carlo simulations. Explore Greeks, payoff diagrams, and volatility sensitivity.
Market data
Data Vault
Download historical returns and covariance matrices for individual stocks directly into your tools. Real data, ready for portfolio construction, risk modelling, and live analysis.
NSE India S&P FTSE Eurostoxx KOSPI Australia S&P Returns & covariance data
🗄️

Pricing — annual licence

Simple, transparent regional pricing

7-day Premium Trial on all plans. One annual licence per e-mail — one e-mail, one sign-in. All seven tools and the Data Vault included at every Mode.

Premium
North America
US & Canada
$15.99/yr
7-day Premium Trial · then per e-mail/year
  • All 7 finance tools
  • PDF export
  • Unlimited Model Saves
  • Data Vault (daily refresh)
Start Premium Trial
Premium
India
₹1,499/yr
7-day Premium Trial · then per e-mail/year
  • All 7 finance tools
  • PDF export
  • Unlimited Model Saves
  • Data Vault (daily refresh)
Start Premium Trial
Premium
Europe
European Region
€14.99/yr
7-day Premium Trial · then per e-mail/year
  • All 7 finance tools
  • PDF export
  • Unlimited Model Saves
  • Data Vault (daily refresh)
Start Premium Trial

Common questions

Frequently asked

More detail in the full FAQ →

More questions? View the full FAQ →

Ready to start your analysis?
Seven quantitative tools. Market data from exchanges worldwide. Try everything free for 7 days — no credit card required.
🎁 7-day Premium Trial  ·  No credit card required
Start Premium Trial →
From ₹1,499 / year after trial  ·  One e-mail, one sign-in
UJ
About FinMBA.net
Dr. Jagannathan
MBA · UCLA  ·  Quantitative Finance  ·  Portfolio Analytics
FinMBA.net was built by Dr. Jagannathan — MBA from UCLA, with expertise in Quantitative Finance and Portfolio Analytics — to bring institutional-grade financial analysis within reach. The kind of quantitative rigour that was once locked behind expensive terminals and specialist software, now accessible in a browser. Every tool reflects how finance is actually practised.