Your Journey to Financial Growth
A streamlined, secure, and transparent onboarding process that gets your capital working in minutes.
Register & Verify
Create your account in minutes. Our admin team verifies your identity and onboards you to the platform securely.
Choose a Plan
Select from Pool Account or Demat/PMS investment plans based on your financial goals and risk appetite.
Submit & Verify
Transfer funds via UPI, Net Banking, or QR Code and upload your payment receipt. Admin verifies and activates your investment.
Earn Monthly Returns
Every month, profits are automatically distributed to your account based on your NAV units. Track everything in real-time.
Portfolio Overview
₹12,45,000
+1.8%Total Portfolio Value
Returns History (6M)
Choose Your Investment Path
Two robust investment vehicles tailored to different risk appetites and capital structures, both optimized for compounding.
Pool Account
Invest in a professionally managed pooled fund with automated monthly profit distributions based on NAV units.
- Up to 4% monthly & 50% annual yields
- Yields subject to past results disclaimer
- NAV-based unit allocation
- Monthly profit distribution
- Pool fund management
- Transparent ledger records
Demat / PMS
Portfolio Management Services for experienced investors seeking customized, direct equity exposure.
- No fee for 18 months or until recovery
- 60:40 profit sharing post-recovery
- Personalized portfolio allocation
- Demat account integration
- Custom return structures
- Portfolio-level reporting
More exclusive options coming soon. Have customized needs? Contact our advisors
Everything You Need to Grow Wealth
A robust, fintech-grade engine combining NAV-based fund management, automated profit distribution, and a highly rewarding partner ecosystem.
NAV-Based Distribution
Industry-standard Net Asset Value model ensures fair, proportional profit distribution based on your investment units — just like top-tier mutual funds.
Secure Investment Flow
Multi-channel payment verification via UPI, QR Code, Net Banking, and Forex Accounts — with multi-sig admin approvals ensuring absolute fund safety.
Partner Referral Network
Earn up to 10% commission of the profit made by your referral. Performance-based commission distribution.
Monthly Profit Engine
Automated profit calculations and payout engine. Admins input total returns; the platform automatically distributes returns and referral dividends.
Full Audit & Reporting
Every single transaction is permanently logged. Export professional PDF/Excel reports covering transaction history, audit trails, and returns statements.
Scalable Fintech Stack
Modern, performant architecture prepared for payment gateway integrations, e-KYC validation, mobile apps, and robust API extensions.
Verified Performance
We believe in data over speculation. Check our historical annual portfolio performance, backed by pro-rata Net Asset Value calculations.
Historical Portfolio Returns
VERIFIED BY NAV LEDGER| Year | Net Return | Market Benchmark |
|---|---|---|
| 2024 | 32% | 14.2% |
| 2025 | 27% | 12.8% |
| 2026 YTD | 11% | 5.4% |
* Note: Past performance metrics and historical Net Asset Value (NAV) yields do not serve as a guarantee for future results. Alternative asset classes involve risk.
Audited NAV Logs
Historical ledger entries mapping pro-rata profit allocations. Statements are downloadable directly via user dashboards.
Verified Broker Statements
Broker-integrated trade ledger reports and monthly account statements cross-checked for absolute integrity.
Meet The Founders
Wealth Builderss is guided by specialists combining alternative financial markets trading with brick-and-mortar capital deployment models.
Built for Serious Investors
We merge professional, institutional-grade finance infrastructure with high transparency and seamless digital operations.
NAV-Based
Fund Architecture
100%
Ledger Auditability
Automated
Profit Calculations
Structured NAV
Distribution Framework
Bank-Grade Security
All critical transactions and private investor details are encrypted end-to-end and require administrative verification before execution.
Institutional NAV Framework
Profit distributions and calculations are computed dynamically using standard Net Asset Value methodologies similar to institutional mutual funds.
Immutable Financial Records
Every ledger modification, transaction approval, commission payout, and monthly statement is completely locked and fully auditable.
Automated Profit Calculations
Automated server scripts handle complex return calculations, system updates, statement generation, and delivery to your inbox.
Start Building Long-Term Wealth With Professional Capital Management
Join a growing community of investors already building compounding legacy portfolios. Secure, transparent, and built on audited NAV models.
Connect With Our Wealth Advisors
Have queries regarding our pool account investing model, monthly payout schedules, or the referral network structure? Fill out this form and our support team will reach back to you within 24 hours.


