Completely Managed Portfolios for Next-gen Diversification

Next-gen diversification.
Zero-effort
management.

Invest wisely. Compound peacefully. CMPND combines the wisdom of Buffett, Graham, and Dalio with AI-powered analysis to maximize your wealth while you focus on what matters.

Bank-grade security
NSE/BSE integrated
7 asset classes

Core Features

Intelligence that compounds

Every feature is designed to maximize your Sharpe Ratio — the highest returns at the least risk possible.

AI-Driven Asset Allocation

Sharpe Ratio optimization across Indian Equities, Mutual Funds, Gold, Silver, Nasdaq100 ETF, Bitcoin, and Liquid Funds — personalized to your risk profile.

Goal-Based Planning

Set your return targets and time horizon. Our engine reverse-engineers the optimal portfolio to get you there with minimum risk.

Autonomous Rebalancing

One-click trade execution through your broker. Connect, optimize, execute — three clicks to a better portfolio.

How It Works

Three clicks to a
better portfolio

01

Connect

Link your Zerodha, Groww, or any major broker account in seconds.

02

Optimize

AI analyzes every holding for quality, valuation, and technical timing.

03

Execute

Review recommendations, tweak if needed, and execute all trades with one click.

Our Philosophy

Invest with conviction,
not confusion

We evaluate every investment as if Warren Buffett, Ray Dalio, and Ben Graham were managing your portfolio together. Quality companies, great prices, maximum upside.

Quality-first: Only invest in companies with expanding margins, high ROCE, and strong moats

Value-driven: Buy great businesses at fair prices using Graham-Buffett principles

Timing-aware: Technical analysis ensures you enter at optimal price levels

Risk-managed: Maximum Sharpe Ratio optimization minimizes downside exposure

AI Agent

Your autonomous
portfolio manager

The CMPND AI Agent continuously monitors your portfolio, market conditions, and macro trends to keep your investments optimized.

CMPND AI Agent — Live
09:15 AM
Market opened. Scanning 500+ NSE stocks for quality signals...
09:18 AM
HDFC Bank: RSI at 38.2, below 200-DMA. Quality score 87/100. Adding to BUY watchlist.
09:22 AM
Portfolio cash position at 8%. Optimal range is 10-15%. Recommending partial exit from overvalued positions.
09:30 AM
Macro assessment updated: Equity outlook BULLISH. Gold NEUTRAL. Maintaining 65% equity allocation.
09:45 AM
Rebalancing complete. 3 trades recommended. Estimated Sharpe Ratio improvement: +0.12

Ready to compound?

Join investors who have simplified their financial life. Connect your broker, let AI optimize, and watch your wealth compound.