Riskless
Finance
Free · Designed for iPad. Not verified for macOS.
See what your brokerage doesn't show you. RiskLess scores your diversification, explains your risk in plain English, and tells you how to fix it. Free.
Most investors are more exposed than they think.
You picked five different tickers. Maybe even different sectors. But if they move together when markets drop, you don't have a diversified portfolio — you have one concentrated bet with five names on it.
RiskLess shows you exactly what's going on, in plain English.
WHAT YOU GET
Overview
Your portfolio's diversification score, live value, and an AI summary that explains your holdings in plain terms — not just what the numbers are, but what they mean for your risk.
Risk Breakdown
See the real drivers behind your risk level. Leverage, sector overlap, correlation between holdings. Understand why your portfolio behaves the way it does before the market teaches you the hard way.
Improve
Six diversification pillars evaluate where you're strong and where you're exposed. Each weak pillar comes with specific ETF recommendations and shows you how much your score would improve if you acted on them.
Scenarios
Run your portfolio through 11 real-world events — a recession, rising inflation, an AI bubble burst, a pandemic, trade tariffs, and more. See projected impact before it happens, not after.
Free to use. No subscription required. No paywalls, ever.
Ratings & Reviews
More ways to diversify.
RiskLess now recommends dividends, small-cap value, managed futures, international bonds, infrastructure, and more. If your portfolio has a gap, there's now a smarter way to fill it.
Smarter risk detection.
The Risk tab no longer gives every factor equal weight. It reads your portfolio first, identifies your single biggest risk driver — whether that's leverage, sector concentration, correlation, or a single oversized position — and leads with that. The most important thing is always at the top.
Scenario Stress Testing.
Swipe through 11 real-world market events and see how your portfolio would actually hold up. Recession. Inflation spike. AI bubble burst. Pandemic. Trade tariffs. Each scenario goes beyond a projected return number — it explains why your portfolio is exposed and what you can do about it before it happens.
The developer, CHRISTOPHER BRAXTON SOHAN DASARI, indicated that the app’s privacy practices may include handling of data as described below. For more information, see the developer’s privacy policy .
Data Not Linked to You
The following data may be collected but it is not linked to your identity:
- Usage Data
- Diagnostics
Accessibility
The developer has not yet indicated which accessibility features this app supports. Learn More
Information
- Seller
- CHRISTOPHER BRAXTON SOHAN DASARI
- Size
- 9.9 MB
- Category
- Finance
- Compatibility
Requires iOS 17.0 or later.
- iPhone
Requires iOS 17.0 or later. - iPad
Requires iPadOS 17.0 or later. - Mac
Requires macOS 14.0 or later and a Mac with Apple M1 chip or later. - Apple Vision
Requires visionOS 1.0 or later.
- iPhone
- Age Rating
4+
- 4+
- Copyright
- © 2026 Christopher Dasari
