MarketPulse India is a premium equity research service for Indian equities and ETFs — designed for HNIs, family offices, and professional money managers who demand depth, discretion, and precision.
Step beyond the noise. MarketPulse India is built on a conviction that serious investors need a focused, high-conviction portfolio — not one diluted across excessive holdings misaligned with sector leadership. Every research output provides structured guidance on entries, exits, and portfolio allocation, ensuring clarity at every stage of decision-making.
This is neither day-to-day trading noise nor passive buy-and-forget investing. The research is designed to capture meaningful trends while remaining dynamic enough to respond to evolving market conditions.
Positions are typically held between 15 days and 3 to 6 months — long enough to capture meaningful price trends, yet active enough to stay aligned with dominant market themes as they evolve.
MarketPulse India is research only. There is no trade execution, no custody, and no conflict of interest. The sole objective is analytical precision.
Everything a professional investor needs — and nothing that isn't.
Up to 8 carefully selected Indian equity and ETF ideas each month, built on disciplined technical analysis with defined entry, stop, and target levels.
Relative Rotation Graph analysis to identify leadership trends across Indian sectors — positioning capital where momentum and probability converge.
Every idea is supported by annotated charts showing multi-timeframe analysis, key levels, and the specific technical setup that drives the recommendation.
All ideas are long-biased — no short positions, no Reverse ETFs. The focus is entirely on identifying the right stocks in the right sectors at the right time, with capital always positioned on the long side.
Subscribers receive a complimentary evaluation, realignment, and rebalancing review of their existing equity portfolio — a structured second opinion aligned with current market conditions.
Subscribers may schedule review calls or submit written clarifications related to current research — by appointment, with Milan Vaishnav directly.
Disciplined. Structured. Alpha-focused.
Begin with a broad view of India market structure — identifying macro conditions, breadth, and which sectors are asserting leadership.
Apply Relative Rotation Graphs to detect sectors rotating into leadership — and those losing momentum — before the move is reflected in prices.
Narrow the Nifty 500 universe to high-conviction ideas aligned with sector strength, with defined setups and a clear risk-reward framework at each entry.
Portfolios are actively monitored and pruned at regular intervals — capital stays aligned with dominant themes as sector leadership evolves.