Plans and pricing

Your portfolio's
missing Asset

From simple screening to deep strategy builds, Fincanva scales with you. No fluff. No hidden fees. Whether you’re starting out or doubling down—we’ve got your back.

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Start exploring with the most complete screener in the market and get a glimpse of our simulation and portfolio manager. It’s the perfect way to start your investment journey.

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Plans & pricing

Choose a plan that matches your needs

Fincanva is built for people who want to grow. Whether you’re testing an idea or optimizing a portfolio, our plans scale with your curiosity and your ambition. Start free. Go deeper when you’re ready.

Starter
29€/month *
Advanced
79€/month *
Ultimate
149€/month *
Professional
Yearly only
or
Starter
26€/month *
78€ billed every 3 months *
Save 36€ a year
Advanced
71€/month *
213€ billed every 3 months *
Save 96€ a year
Ultimate
134€/month *
402€ billed every 3 months *
Save 180€ a year
Professional
Yearly only
or
Starter
23€/month *
276€ billed annually *
Save 72€ a year
Advanced
63€/month *
756€ billed annually *
Save 192€ a year
Ultimate
119€/month *
1.428€ billed annually *
Save 360€ a year
Professional
299€/month *
3.588€ billed annually *
*Prices exclude taxes. Applicable tax rates will be calculated at checkout based on your billing address.
Compare our plans
Free
Starter
Advanced
Ultimate
Professional

Screeners

# of screeners
2
10
30
Unlimited
Unlimited
Universe selection
# of filters per screener
2
2
4
8
20

Portfolios

Public portfolios
Personal portfolios

Backtesting & simulations

Access to portfolio simulations
# of simulations per month
Unlimited
Unlimited
Unlimited
Unlimited
Computational threads allocated
4
8
16
16
Portfolio output
Reinvest profits & dividends
Cost analysis
Tax analysis
Available benchmarks
Indices
+Sectors
+Custom
+Custom
Equity evolution
Portfolio metrics
Monthly returns
Current State
Allocation history
Models analytics
Coming soon
Coming soon
Positions history
Start date sensitivity
Coming soon
Coming soon

Portfolio design

# of portfolios
2
5
10
100
# of max models per portfolio
2
15
30
50
Risk-off management
Portfolio allocation
Equal weights
Fixed weights
Ranking based
Risk scaling
Risk parity
Modern portfolio theory (MPT - Positive weights only)
MPT constraints

Model design

# of models that can be saved
5
50
Unlimited
Unlimited
# of screeners per model
1
2
8
16
# of max positions per model
10
25
50
Unlimited
Risk-off management
Model allocation
Equal weights
Fixed weights
Ranking based
Risk scaling
Market cap weighted
Beta neutral
Floating weights
Minimum correlation
Risk parity
Mimicking portfolio
Modern portfolio theory (MPT)
MPT constraints
Data *
* data availability may differ due to multiple factors (country, asset, etc.)
Data for simulation and backtesting
2015
2005
1800
1800
US & Canada
UK
EU
Stocks
2015
2005
2000
1990
ETPs
2015
2005
2000
2000
Cryptocurrencies
2015
2010
2010
2010
Stocks Total Return Indices
2015
2005
1800
1800
Stocks Market Total Return Indices
2015
2005
1926
1926
Stocks Factors Total Return Indices
2015
2005
1926
1926
Treasury Bond Total Return Indices
2015
2005
1800
1800
Corporate Bond Total Return Indices
2015
2005
1927
1927
Gold series
2015
2005
1925
1915
Macro data
2015
2005
1800
1800
Devices & support
Devices
2
2
2
5
Priority support