
Institutional-grade financial research, made accessible to every investor. Data back to 2007. Covering 8,000+ equities. 50+ metrics per report.
Marlowe Keynes was founded with a singular conviction: the quality of investment research should not be determined by the size of one's budget. For decades, comprehensive financial analysis — the kind that drives informed capital allocation — has been the exclusive domain of institutional investors with access to expensive terminals and proprietary research desks.
We set out to change that. Our platform synthesizes data from institutional-grade providers into clear, actionable reports that any investor can generate in seconds. Every metric is defined, every chart is explained, and every valuation model is transparent. No black boxes.
Named after two of the most influential minds in economics and finance, Marlowe Keynes embodies the principle that understanding markets requires both rigorous quantitative analysis and the wisdom to interpret what the numbers mean.
Every data point is sourced from institutional-grade providers and cross-validated. Our financial data extends back to 2007, covering 8,000+ equities worldwide.
We show our methodology. Every chart includes a definition of what it measures, how it's calculated, and why it matters for investment decisions.
Institutional-quality research should not be locked behind expensive terminals. We make professional-grade analysis available to every investor.
No sponsored content, no paid placements. Our analysis is driven by data, not commercial relationships.
Every Marlowe Keynes report follows a structured analytical framework designed to give investors a complete picture of a company's financial health, valuation, and competitive position.
We aggregate financial statements, price data, analyst estimates, and macro indicators from institutional-grade sources.
Our models compute valuation multiples, growth metrics, profitability ratios, and risk indicators across multiple timeframes.
Results are synthesized into clear, exportable reports with charts, definitions, and contextual commentary.
We use forward-looking projections for valuation metrics (never trailing twelve months), overlay sector averages for context, and include interactive tooltips with company-level detail. Every chart in our reports includes a clear definition of what it measures and why it matters.
10 integrated investment tools, one unified experience
Comprehensive stock analysis with 50+ metrics, charts, and AI summaries
Discounted cash flow valuations with customizable assumptions
Peer comparison across valuation multiples and financial metrics
Real-time earnings calendar with beat/miss tracking and estimates
Filter 8,000+ equities by fundamentals, technicals, and sector
Live market overview with sector heatmaps and macro indicators
Historical financial data dating back to 2007. Updated daily from institutional-grade providers.
Our research is accessible across multiple domains
Generate your first institutional-grade stock report in seconds. No account required.