Find better ETFs. Then actually understand what you own.

Most finance sites drown you in 3,000 tickers and a wall of numbers. We track the ~200 that matter, show you how they perform, and let you see exactly what's inside.

3328 holdings
TechnologyOtherCommunication ServicesFinancial ServicesConsumer CyclicalHealthcareIndustrialsConsumer DefensiveEnergyBasic MaterialsUtilitiesReal EstateNVDA6.2% wtAAPL5.9% wtOther Technology (25)4.4% wtMSFT4.4% wtAVGO2.3% wtMU0.7% wtAMD0.5% wtPLTR0.5% wtAMATLRCXCSCOORCLIBMKLACOther (3,128)23.7% wtGOOGL2.7% wtGOOG2.2% wtMETA2.1% wtOther Communication Services (6)1.2% wtNFLX0.6% wtOther Financial Services (24)3.5% wtBRK-B1.4% wtJPM1.1% wtVMABACWFCAMZN3.0% wtOther Consumer Cyclical (14)1.9% wtTSLA1.7% wtHDOther Healthcare (18)3.2% wtLLY1.4% wtJNJ0.9% wtABBVMRKUNHAMGNOther Industrials (28)4.3% wtRTXWMTCOSTPGOther Consumer Defensive (4)PM0.4% wtKOOther Energy (9)1.0% wtXOMOther Basic Materials (7)0.9% wtLINOther Utilities (8)1.1% wtOther Real Estate (7)1.0% wt
3,328 holdingsTop: NVDA 6.2%30.7% Technology

Balance risk with reward, visually

A table can show you which ETF went up most. But it can't show you it did so with 3x the volatility. Our bubble chart maps risk against return so you can see the tradeoff at a glance, not buried in columns.

No filler. No zombie funds nobody trades. Just the ~200 worth your attention.

ETF Screener

Risk map

How bumpy is the ride?

SteadyMarket-amplifiedHigh octaneOff-scriptAAPLMSFTNVDAAMZNGOOGLTSLAJNJJPMPLTRCOINPGSMCIXOMRIVNNKLA0%20%40%60%80%100%Max drawdown0.00.51.01.52.02.5Beta (vs SPY)
Quality compounder
High conviction bet
Stable but flat
Needs a thesis
North AmericaAsia-PacificEuropeUnited States69.5%Taiwan5.6%South Korea3.2%JapanIndiaNetherlands7.3%Romania3.7%SwedenIsrael
North America69.5%Europe12.2%Asia-Pacific13.5%Middle East & Africa1.5%

See where your money really is

You think you own 'the US market.' But how much is actually in Taiwan? How concentrated are you in one country? Geography bubbles show country-level exposure at a glance. No more guessing.

Interactive, proportional, colour-coded by region. One look tells you more than any allocation table.

Explore an ETF

Find the overlap you didn't know about

You bought three ETFs thinking you were diversified. Congratulations, you own Nvidia four times. The overlap ribbons show exactly which holdings your funds share, and by how much.

One glance. No spreadsheets. No squinting at 47 columns.

Portfolio X-ray →
Band height = weight in ETF · Color = sector · Ribbons = shared holdings
QQQSMHNVDA7.8%AVGO4.8%AMD2.2%QCOM1.8%3 more shared1.2%AAPL8.9%MSFT8.2%AMZN5.2%META4.6%GOOGL3.0%88 more unique30.5%NVDA20.0%AVGO8.5%AMD5.5%QCOM5.0%INTC3.5%3 more shared4.5%5 more unique10.8%
34.0% of QQQ is shared72.0% of SMH is shared

Questions you should be able to answer

Which ETFs are actually outperforming right now?

Am I accidentally overweight in one stock?

How different are VTI and VOO really?

What would $500/month into QQQ have done over 10 years?

Do my ETFs overlap more than I think?

Where are my real sector and country bets?

Free to start. No credit card. No nonsense.

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