Financial Data APIs that turn your agent into an analyst.
Make better investment decisions by connecting your agent to institutional-grade financial data.
Built for the questions analysts answer.
Get deep sector research, on demand.
Onboard your agent into any industry in seconds — structure, key players, dominant narratives, cycle position. No sector specialist on staff required.
Assess a company’s competitive advantage.
Replace weeks of analyst memos with a versioned moat score. Components, 5-year revenue persistence, disruption vectors — fully auditable, refreshed on every relevant filing.
Map any company’s supply chain.
Trace upstream suppliers, downstream customers, and geographic dependencies. Surface the single points of failure that break a thesis the moment one counterparty moves.
Available APIs.
| Name | Description | Example question |
|---|---|---|
| Sector | ||
| Sector Profile | Returns a complete picture of an industry — who the major players are, how the market is segmented, and how value flows through the chain. | “Walk me through how the GLP-1 market is structured.” |
| Sector Themes | Returns the dominant narratives a sector is talking about right now, synthesized across earnings calls, IR decks, and management commentary. | “What are the dominant narratives in semis this quarter?” |
| Sector Capacity | Returns where a sector sits in its supply-and-demand cycle — utilization, pricing, capex, and inventory — to tell you if conditions are tightening or loosening. | “Where are we in the memory cycle right now?” |
| Quality | ||
| Competitive Advantage | Returns a 0–10 moat score for any company, broken down by what makes it durable (brand, switching costs, network effects, scale) and what could disrupt it. | “Does Costco still have a moat in five years?” |
| Management Quality | Returns an assessment of leadership — how skilled they've been at allocating capital, executing strategy, and aligning their incentives with shareholders. | “How good is Elon at allocating capital across Tesla's businesses?” |
| Earnings Quality | Returns whether reported earnings actually convert into cash, flagging accruals, one-time gains, and gaps between EPS and free cash flow. | “Is Palantir's reported EPS actually backed by cash flow?” |
| Fundamentals | ||
| Financials | Returns income statement, balance sheet, and cash flow figures — normalized across years and adjusted for restatements so periods compare cleanly. | “Pull Microsoft's last five years of normalized financials.” |
| Estimates | Returns forward revenue and earnings forecasts at quarterly and annual cadence, with confidence bands and bull, base, and bear scenarios. | “What's a realistic bull case for NVIDIA's FY26 revenue?” |
| Valuation | Returns a fair-value range from DCF, comparable multiples, and sum-of-parts — pinned to a methodology version so backtests reproduce. | “What's a fair value range for ASML using DCF and comps?” |
| Segments | Returns revenue, margins, and growth broken down by business segment, so you can see which parts of the company are actually driving results. | “How much of Amazon's operating profit really comes from AWS?” |
| Activity | ||
| Insider Flows | Returns insider trades — highlighting unusual activity — drawn from Form 4 filings, 10b5-1 plans, 13F holdings, and short-interest data. | “Have Eli Lilly insiders been selling unusual amounts lately?” |
| Catalysts | Returns upcoming events that could move the stock — earnings, FDA decisions, M&A, product launches — each scored by likely impact. | “What catalysts does Boeing have in the next 90 days?” |
| News | Returns synthesized news with sentiment and narrative framing, deduplicated across sources so you see what actually matters, not the same story repeated. | “What's actually new with Meta this week — signal, not noise?” |
| Disclosures | Returns earnings call transcripts, IR decks, and shareholder letters with quote-level retrieval, so you can pull exact management language directly. | “What did Jensen say about China demand on the last call?” |
| Risk | ||
| Accounting Risk | Returns the probability a company will restate financials or face going-concern issues, plus indicators of aggressive accounting hidden in the filings. | “Are there any restatement red flags hiding in Carvana's filings?” |
| Concentration Risk | Returns how dependent a company is on any single customer, supplier, geography, or person — with year-over-year shifts in those dependencies. | “How dependent is AMD on any single customer or supplier?” |
| Supply Chain | Returns who supplies a company and who they sell to, including geographic flow and single-point-of-failure risks across the value chain. | “Who supplies SanDisk's NAND, and where are the bottlenecks?” |
| Litigation & Regulatory | Returns material lawsuits, agency rulings, settlements, and emerging regulatory risks — each sized by probable financial impact. | “What's Google's material legal and antitrust exposure right now?” |
| Profile | ||
| Business Profile | Returns what the company actually does — its segments, leadership, geographic footprint, and peer competitors — synthesized from filings. | “What does Snowflake actually do, and who do they compete with?” |