The market is too large for most people to research company by company. Analyse Insights narrows your starting point to a competitive Top 50 built from community ideas and one consistent ranking approach.
Explore the Top 50No single person can search every listed company. The community and daily AI suggestions helps widen the search by sharing companies others may not have found.
Once a company is submitted, popularity does not decide the result. It is compared with the rest of the universe using the same rules. Companies cannot pay for a place and a familiar name does not receive special treatment.
The hardest part of stock research is often not finding information. It is deciding where to begin, which companies deserve your time and which numbers actually matter.
Analyse Insights gives beginners and experts a focused shortlist, a consistent way to compare companies and plain-language explanations of what the results mean.
Think of the Top 50 like a sports table. Every company has to earn and defend its position. A new company only enters if it ranks above one already on the list.
There is no single correct way to invest. Some people focus on dividends. Others look for undervalued companies, early-stage growth, turnarounds or short-term price movements.
Analyse Insights uses a growth-and-momentum screening approach. We look for companies with a strong long-term growth record, reasonable consistency, healthy recent performance and a direction that is improving or holding steady.
That makes the Top 50 useful for finding companies whose historical performance stands out under our standards. It does not tell you whether a stock is right for your goals, whether it is fairly priced or what the market will do next.
A list of hundreds of companies would recreate the same problem the app is trying to solve. Limiting the visible list to 50 keeps the research focused and makes every place competitive.
A company cannot simply be added to the visible list. It must outperform an existing Top 50 company under the same model. That means the list can improve as the community finds stronger ideas.
A paid member or administrator shares a ticker that may deserve research.
The company is added to the central Stock List so it can be compared with every other active company.
The background database updates the available prices and performance periods used by the model.
Long-term growth, consistency, recent performance and direction are reviewed in the same way for every company.
The Score shows relative model fit. Rank shows its position against the rest of the current universe.
The highest-ranking 50 are sent to the app. The app displays the completed results and does not independently change them.
News, price changes and extra company information are refreshed for the Top 50 so users can see what may need attention.
Strong, Stable, Watch or Review tells you where attention may be needed.
The Score shows relative strength. Trend shows whether that strength is improving or weakening.
Look for repeatability and avoid relying on one standout year.
Understand where the current price sits, then investigate why it is there.
Use valuation, debt, profitability and cash flow to add business context.
Check the date, reason and source behind news or price warnings.
Use the Research Assistant to narrow your questions across the full Top 50 in plain English. Make personal investment decisions only after considering your goals, risk tolerance and wider portfolio.
| Metric | What it means | How to use it |
|---|---|---|
| Long-term growth | How strongly the company has grown across the full five-year period. | Helps identify companies with a durable track record rather than one good month. |
| Year-by-year consistency | Whether the five separate annual periods are reasonably dependable or highly uneven. | Helps distinguish repeatable growth from a result driven by one exceptional year. |
| Recent annual performance | How the most recent 12-month period compares with the company's longer history. | Shows whether the longer-term story is still being supported by current performance. |
| Recent quarterly momentum | How the latest short-term periods are developing. | Highlights whether momentum is strengthening, flattening or weakening. |
| Trend | The direction across the performance periods, with more attention given to the most recent changes. | Adds context to the Score by showing whether the company is accelerating, decelerating, strong, weak or stable. |
What does not change the performance ranking
The following information helps you understand the company, its valuation and current risks, but it does not change the performance Score or Rank:
P/E ratio, market capitalisation, revenue, profit, margins, ROE, debt and cash flow.
News warnings and price-change alerts.
The AI summary or Research Assistant commentary.
Popularity, member votes or paid promotion.
These measures belong in the research step. A company may rank highly on performance and still deserve caution because it is expensive, heavily indebted, exposed to negative news or unsuitable for your situation.
Rank is the company's current position in the full universe. Rank 1 is the strongest current fit for the model. Rank 50 is the final visible place on the leaderboard.
Rank movement shows whether a company has moved up or down since the previous update. A movement does not always mean something dramatic happened to that company. Other stocks may simply have improved or weakened by more.
The Score is a number from 0 to 100 that summarises how well a company currently fits this model. A higher Score means a stronger relative combination of growth, consistency, recent performance and direction.
The Score is relative to the current universe. It is not a percentage chance of success.
Scores can change when market data changes or when stocks are added to or removed from the universe.
A high Score does not guarantee future returns and does not mean the stock is suitable for every investor.
The Score is designed to help you choose what to research first.
Status turns several signals into one quick attention label. It helps you decide where to look first, but it does not tell you what action to take.
| Metric | What it means | How to use it |
|---|---|---|
| Strong | The company has a high Score, a positive or steady direction and no current warning signal. | Use it as a prompt for deeper research, not an instruction to buy. |
| Stable | The company is holding together without an active warning but does not currently meet the Strong standard. | Watch whether its Score and Trend improve or weaken. |
| Watch | One area needs closer attention, such as a weakening Trend or one active news or price signal. | Open the detail page and understand the reason. |
| Review | The clearest caution flag, usually because the company is decelerating or more than one warning is active. | Pause and investigate before making any personal decision. |
A stock can keep a high Rank and still show Watch or Review. That is useful: the performance record may remain strong while a newer risk deserves attention.
What it means: A high-ranking company with a positive or steady direction and no current warning signal.
How to use it: A useful starting point for deeper research. It is not a buy instruction.
What it means: A company that is holding together without an active warning, but does not currently meet the Strong standard.
How to use it: Review it in context and watch whether its Score or Trend improves.
What it means: One area needs closer attention, such as a weakening Trend or a current news or price alert.
How to use it: Open the stock and understand the reason before drawing a conclusion.
What it means: The clearest attention flag, usually because the direction has weakened materially or more than one warning is active.
How to use it: Pause and investigate. Review does not automatically mean sell.
These are attention prompts, not buy, hold or sell instructions, and they do not change the performance ranking.
| Metric | What it means | How to use it |
|---|---|---|
| Accelerating | The recent 6-month average is at least 10 percentage points higher than the previous 6 months, with both recent periods positive. | Check whether the improvement is supported by the business or driven by a short-lived event. |
| Decelerating | The recent 6-month average is at least 10 percentage points lower than the previous 6 months, with at least one of the recent two periods negative. | Treat this as a clear prompt to investigate before relying on the older track record. |
| Strong | The 4-period average is 10% or higher, at least 3 of the 4 periods are positive, and there are no negative periods. | Useful for identifying companies with a consistently solid performance pattern. |
| Weak | At least 3 of the 4 periods are negative. | Review the latest periods, news and fundamentals to understand why. |
| Stable | Everything else that does not show a strong directional signal. | Useful for identifying companies that are holding their performance pattern. |
| Metric | What it means | How to use it |
|---|---|---|
| Rank | The company's position against every active stock in the universe. | Start at the top, but use the other fields to understand why a company ranks there. |
| Rank movement | How far the company has moved since the previous update. NEW marks a recent entrant. | Use it to spot fast changes, then check whether the movement is supported by performance or caused by other stocks moving. |
| Score | A 0-100 summary of relative model fit. | Use it to compare companies consistently. Do not treat it as a forecast or probability. |
| Status | Strong, Stable, Watch or Review. | Use it as the fastest way to see which companies appear healthy and which need attention. |
| Trend | Accelerating, Decelerating, Strong, Weak or Steady. | Use it to understand the current direction behind the Score. |
| Average performance | The simple average of the five separate annual return periods. | Use it as a quick sense-check, then inspect the individual years to see whether the average hides large swings. |
| 1Y to 5Y | Five separate 12-month performance periods. 1Y is the latest year; 2Y is the year before that, and so on. | Look for repeatability. Several positive years are usually more informative than one exceptional year. |
| Growth mini chart | A small visual summary of the five annual periods. | Use it to spot patterns quickly, then read the actual percentages before drawing a conclusion. |
| Current price | The latest available market price. | It tells you where the stock trades, not whether it is cheap or expensive. |
| 52-week high and low | The highest and lowest prices recorded over the last year. | Use them as context for the recent trading range, not as automatic buy or sell levels. |
| 52-week range bar | Shows where the current price sits between the yearly low and high. | A position near the high may show strength or stretched expectations. A position near the low may show weakness or a possible recovery situation. Investigate the reason. |
| Exchange and sector | Where the stock trades and the part of the economy it belongs to. | Use these fields to compare similar businesses and check whether the Top 50 is concentrated in one area. |
| Metric | What it means | How to use it |
|---|---|---|
| Market capitalisation | The total market value of the company's listed shares. | Use it to understand company size. Larger and smaller companies often have different risk, liquidity and growth profiles. |
| P/E ratio | The share price compared with the company's earnings. | Use it as a rough valuation check against similar companies and the company's own history. A low or high P/E is not automatically good or bad. |
| Volume | How many shares are being traded. | Use it to understand liquidity and market interest. Very low volume can make prices more volatile and trades harder to complete. |
| Revenue | The money the company receives from selling its products or services. | Use it to understand the scale of the business and whether later profit figures are supported by meaningful sales. |
| Net income | Profit remaining after the company pays its costs, interest and taxes. | Use it to see whether revenue is turning into bottom-line profit. Check several periods rather than one result. |
| Profit margin | The percentage of revenue kept as profit. | Use it to compare operating quality with similar companies. Sector differences can be large. |
| Return on equity | Profit earned relative to the shareholders' investment in the business. | Use it as one measure of efficiency, while remembering that heavy debt can make ROE appear higher. |
| Debt to equity | Debt compared with shareholder equity. | Use it to understand financial leverage. Compare it with similar companies because normal debt levels vary by industry. |
| Operating cash flow | Cash generated by the company's normal operations. | Use it to check whether reported profit is being supported by real cash coming into the business. |
| Benchmark comparison | Compares the company or Top 50 with broad market indexes over similar periods. | Use it to ask whether the result is genuinely strong or simply reflects a rising market. |
| AI summary | A plain-language summary of the current data, strengths, risks and recent developments. | Use it to orient yourself quickly, then verify important points through the underlying data and source information. |
| News signal | A current warning or development found in the latest news review. | Read the reason, date and source. News can be incomplete, early or later resolved. |
| Price-change alert | Flags a meaningful recent price move. | Treat it as a prompt to investigate what changed. A price move alone does not explain whether the development is positive or negative for the long term. |
Found a company that may deserve a place? Share it with the community. The suggestion enters a review queue and is added to the central Stock List during the next approved update.
Enter the ticker and company name.
For non-US companies, include the correct exchange-qualified symbol when requested.
The stock is checked for duplicates, valid market data and enough history to calculate the model.
It is then compared with the full universe during the next ranking run.
It joins the visible Top 50 only if it earns a high enough Rank.
A suggestion that does not enter the Top 50 has not failed. It simply did not rank strongly enough under the current model and current universe.
Researching 50 companies manually can mean dozens of tabs, repeated calculations and hours of comparison. The Research Assistant helps you ask the same questions across the full Top 50 in plain English.
Try questions like:
The assistant uses the current app data to provide research insights. It does not know your personal financial position and should not tell you what you personally should buy or sell.
Some members check the app every day. Others prefer a weekly review. The Summary page brings the most important changes into one quick view:
Companies added to the full universe.
New stocks that made the Top 50 and those that did not.
Rank movement and new entries.
Status and Trend changes.
Latest news and price alerts.
Fresh AI discoveries and weekly research picks.
Paid members can choose daily or weekly email summaries. External Telegram alerts can provide faster price notifications and weekly picks for members who prefer them.
| Metric | What it means | How to use it |
|---|---|---|
| List health | A high-level view of how concentrated the Top 50 is across sectors and companies. | Use it to notice when the leaderboard is dominated by one part of the market. It does not assess your personal portfolio. |
| Benchmark comparison | Compares Top 50 performance with broad market indexes across similar periods. | Use it to understand whether the list is adding value beyond a generally rising market. |
| Top opportunities | Highlights the highest current Scores in a simple chart. | Use it as a shortcut to the strongest model fits, then open the company details before forming a view. |
It cannot predict future returns or remove the risk of loss.
It does not know your financial goals, time horizon, income needs or risk tolerance.
It is deliberately tilted toward growth, consistency and momentum. A good dividend, value or turnaround stock may rank lower because it fits a different strategy.
The ranking is only as broad as the community universe. Strong companies that have not been submitted cannot appear.
Market data, news and company information may be delayed, incomplete or corrected later.
A high performance Score does not prove that the current share price is attractive.
The model does not replace diversification, tax considerations or professional advice.
Not personalised financial advice: the system evaluates the same data for everyone.
Not a buy or sell recommendation: a high Score is a research signal, not an instruction.
Not a guarantee: even the highest-ranked company can fall in value.
Not a replacement for your own research: it is a launchpad for faster, more focused investigation.
Analyse Insights provides educational tools and market research to help users explore publicly listed companies. Rankings use a consistent methodology applied to community-submitted ideas. They support independent research and are not personalised financial advice or recommendations to buy or sell any financial product. Investing involves risk, including the possible loss of capital. Carry out your own research and consider advice from a licensed financial professional before making investment decisions.