One connected platform for financial research and risk.

Macro context, security analysis, portfolio management and quantitative risk. Each tool is built around real financial decisions.

Quick Launch

The Platform

Four tools. One connected workflow.

01 Macro
02 Stock
03 Portfolio
SETHIPORTFOLIO.

SethiPortfolio Vault

How is capital allocated and performing?

Live

Track holdings, benchmark-relative performance, exposures, portfolio risk, FX effects and hypothetical rebalancing.

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04 Quant

Recently Added

A few of the latest changes.

Shortcuts to features added across the platform.

Behind SethiWay

Built from the questions I wanted to answer.

SethiWay started as a set of tools for analysing markets, companies and portfolios. The maths and code sit underneath those questions.

01

Markets & Investing

Fundamental, macro and portfolio analysis centred on the questions that matter before and after capital is deployed.

02

Quantitative Modelling

Statistics, optimisation, simulation, derivatives and risk models used to understand behaviour that simple headline metrics miss.

03

Software Engineering

Python and FastAPI data engines, interactive web interfaces and Plotly visualisation wrapped around practical financial workflows.

Sanchit Sethi

About

Hi, I'm Sanchit.

I study BSc MORSE at the University of Warwick and build SethiWay as a practical extension of the maths, statistics, economics and markets I am interested in.

The goal is simple: take financial questions that are usually spread across spreadsheets, terminals and separate models, then turn them into connected tools that are clear enough to use and technical enough to be worth building.

Feedback & Collaboration

See something worth improving?

Feature ideas, bugs, model suggestions and collaboration opportunities are all useful. Send the detail directly here.