Pricing & plans

Straightforward pricing.
No surprises.

Free gives you the full dashboard experience today — a real pick emailed every week and access to the Portfolio tab, while Top Picks and Risk stay built on realistic sample data until the engine's live picks go out. Connecting a real brokerage account is a Live-plan feature. No trade execution, at any tier.

Free
$0
no card required
  • See sample Top Picks, with the full reasoning behind each score
  • One real pick from the weekly scan, emailed to you every week
  • Portfolio Construction & Portfolio Risk Comparison
  • Risk stays built on realistic sample data until launch
  • First to know when Live opens
Create free account
Plus
$9.99
per month
7 days free, then $9.99/mo
  • Everything in Free
  • Portfolio Construction & Portfolio Risk Comparison
  • Full list of real picks, every week — same picks as Live
Most popular
Live
$14.99
per month
7 days free, then $14.99/mo
  • This week's live picks, every week
  • Connect a real brokerage — synced Positions, Portfolio, and Risk
  • Full dashboard — Top Picks, Positions, Risk
  • Weekly scan across 90+ tickers, 1,000+ contracts
  • Portfolio Construction & Portfolio Risk Comparison included

Collect52 does not execute trades on your behalf at any tier — see our disclaimer.

Included with every plan

Portfolio Construction

Build a portfolio from any mix of tickers — or load your own connected brokerage holdings as a starting point — and see its historical risk and return, benchmarked against the S&P 500: total return, volatility, Sharpe/Sortino/Calmar ratios, max drawdown, and sector exposure. Save multiple portfolios and come back to see how one's actually performed since you saved it. It's a hypothetical, educational tool — it shows how a given mix of holdings has behaved, not a projection or a recommendation.

Included with every plan

Portfolio Risk Comparison

See how your own portfolio stacks up, not just ours. Portfolio Risk Comparison benchmarks your real connected holdings against the S&P 500 across the metrics that actually drive risk-adjusted performance — Sharpe ratio, Calmar ratio, beta, and volatility — so you get a real read on your risk, not just your returns. Computed automatically from your connected brokerage, refreshed on a regular schedule — nothing to build or run yourself.