Labh

Welcome to Labh

Assorted Mutual Funds and Stock Baskets via Advanced Financial Research for Retail Investors


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Portfolio Construction

Based on our thorough analyses, we construct diversified asset baskets tailored to retail investors. These baskets include carefully selected stocks, mutual funds, and other assets designed to maximize returns while managing risk.

stocks and mutual funds in a basket

Continuous Monitoring and Rebalancing

We constantly monitor market conditions and portfolio performance. Our dynamic rebalancing strategies ensure that your portfolio remains aligned with your investment goals and risk tolerance.

continous monitoring of mutual funds

Automated Portfolio Analysis

At Labh, our detailed portfolio analysis ensures your investments are optimized for performance and aligned with your financial goals.
Analysis includes but not limited to performance review, risk assesment, diversification analysis, cost analysis etc

portfolio construction

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About Us


Our team is a powerhouse of diverse expertise, comprising engineers,
PhD mathematicians, traders, and MBAs. The founders are Alum of the prestigious IIM Ahmedabad.

Our professionals are equipped with top-tier certifications.

  • - We are limited members of NSE and BSE
  • - AMFI Registered Mutual Fund Distributor
  • - NISM Research Analyst
  • - NISM Mutual Fund Distributor
  • - NISM Registered Investment Advisor
  • - NISM Equity Derivatives.


Read our methodology!

Our Methodology

Labh leverages cutting-edge financial research to curate bespoke investment solutions for retail investors. Our approach encompasses:


Comprehensive Data Collection

We gather extensive data from a variety of sources, including market trends, economic indicators, company reports, and historical performance metrics.

Technical Analysis

We study price movements, trading volumes, and historical trends to forecast future price trajectories. Our technical analysis helps us determine optimal entry and exit points for investments.

Econometric Analysis

Our experts employ econometric models to understand economic relationships and forecast future market conditions. This helps us identify macroeconomic trends and potential investment opportunities.

Quantitative Analysis

Using mathematical and statistical techniques, we analyze market data to identify patterns and correlations. Our quantitative analysis allows us to develop models that predict asset performance and risk.

Qualitative Analysis

Beyond numbers, we delve into qualitative factors such as company management, industry conditions, and competitive advantages. This holistic approach ensures we consider all aspects of an investment.

Algorithmic and Scientific Methods

Our proprietary algorithms process vast amounts of data to identify high-potential investment opportunities. We utilize machine learning and other scientific methods to continuously refine our models and strategies.


Faster,Better and Safer Investments

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Read our blogs


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How Global Events Influence Mutual Fund Performances

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Funding Education for your kids with Mutual Funds

As parents, one of our most significant responsibilities is to ensure that our children receive the best education possible. However, the cost of education in India has been rising steadily

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Frequently Asked Questions



Labh is a research organisation that researches and creates baskets of mutual funds and stocks that will yield optimal returns according to your risk appetite.