
OUR COMPANY
At Dhansetu Research, we don’t just provide calls or signals we provide clarity, confidence, and control to your trading journey.



Discover systematic discipline and empirical market analysis. Explore our research & systematic execution infrastructure.
OUR SERVICES
Our Awesome Services
API Services
API Software use a program that follows a defined set of instructions to place a trade
RA services
Where clarity meets compliance, and data is transformed into meaningful direction.
Do you want to learn more about how this works? Learn more here.
All systematic api-driven trading strategies available on Dhansetu Research operate under the strict supervisory mandate of SEBI-registered Research Analyst (Reg No: INH000024550). Every strategy follows quantitative logic derived from published technical and fundamental research models.
Drawdown & Market Risk Disclosure: Systematic and api-driven models do not eliminate market risk. Historical backtest parameters or simulated performance metrics do not assure or guarantee future performance. Maximum drawdown profiles vary based on market volatility, execution slippage, and broker latency. Investors are advised to assess their risk appetite and review all disclosure documents before connecting broker APIs.
Rule-Based Execution
Systematic api-driven execution built to eliminate manual emotional bias.
Consistent Strategy Logic
API-Driven infrastructure executes defined parameters with high precision and disciplined rule adherence.
Order Management
Advanced order routing architecture engineered for rapid broker API execution and slippage minimization.
Predefined Risk Controls
Systematic api-driven execution built with predefined risk controls and parameters.
Structured Execution
Systematic, rule-based api-driven platform designed for structured market execution supervised under RA research mandates.
How it works
3 Simple steps to start

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Disciplined, Data-Driven Research & Systematic Execution.
Data-Driven Research & Rule-Based Strategy Infrastructure. Leverage our empirical research, disciplined quantitative models, and institutional experience to navigate the financial markets with clarity and confidence.
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