
June 30, 2026
Gratify Fintech combines stock picking driven by AI, live market sentiment analysis, and machine learning risk management with experienced analyst oversight, built for investors who want an informed edge.
Discover our approachOur models scan the markets around the clock, surfacing opportunities that human analysis alone would overlook.
We read live sentiment across news and markets, helping us anticipate shifts before they fully unfold.
Our models watch portfolio risk without pause, dialling exposure up or down as market conditions move.
Every call the models make is reviewed by analysts with deep grounding in data and market analytics.
We pair quantitative signals with human judgement, instead of leaning on either one on its own.
From new investors to those managing substantial wealth, our approach adapts to your goals.
Past performance is no guarantee of future results.
All investing carries risk, including the possible loss of your principal.
Diversification cannot assure a profit or shield you from loss.
At a glance
2019
The year we were founded
3
Disciplines behind every decision
Live
Sentiment & risk monitoring
Global
Outlook, rooted in India
From equity strategies led by AI to personal financial planning, everything is shaped around your goals.
Equity strategies led by AI that blend algorithmic stock selection with sentiment analysis in pursuit of long term growth.
Professionally managed funds for investors who prefer a diversified, hands off route to the markets.
Personal sessions with our analysts to line your strategy up with your financial goals.
A clear roadmap, grounded in data, that takes you from where you are today to where you want to be.
A disciplined, systematic process that turns research into action, pairing machine intelligence with human judgement at every step.
Our proprietary AI and machine learning models scan global markets and live sentiment without pause, generating ideas around the clock.
Experienced analysts stress test every signal and weigh in macro and geopolitical context before it ever shapes a portfolio.
We act with patience and manage risk continuously, adjusting exposure as conditions shift rather than reacting after the fact.
The best returns belong to those patient enough to wait, study the data, and act with discipline.
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