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Professional portfolio construction & analysis

Institutional-grade portfolio construction and analysis
for the European investor (CH · EU · UK).

A structured, rules-based environment to construct, stress-test, and compare ETF portfolios — with deep risk analysis, Monte Carlo simulation, and full transparency into every allocation decision.

For educational and illustration purposes only. Not investment advice.

Build Portfolio view
Monte Carlo Simulation
Full Look-Through
Welcome video

See the Lab in motion.

A short visual introduction to the Investment Decision Lab.

0Analytical Modules
0Monte Carlo Paths
0Stress Scenarios
0Supported Base Currencies
0Satellite Asset Classes

Who it's for

Built for professionals and serious investors who demand transparency and rigour.

Portfolio Managers

Rapidly prototype allocation structures, validate inputs against coherence checks, and export institutional-grade PDF reports.

Independent Advisors

Build client-specific ETF portfolios with full rationale documentation. Compare scenarios side by side and stress-test against 2008, COVID, and 2022 rate shocks.

Sophisticated Private Investors

Move beyond generic model portfolios. Define your own constraints, understand the mechanics of your allocation, and make decisions backed by risk metrics — not gut feel.

Independent assessment

Independent Review by Claude Cowork

Can a free, browser-based investment platform deliver capabilities normally associated with professional portfolio construction tools?

This independent review by Claude Cowork takes a deep dive into the BICon Investment Lab, assessing its portfolio analytics, Monte Carlo simulations, ETF portfolio construction framework, AI-assisted workflows, and overall user experience.

The verdict: a uniquely comprehensive platform that combines quantitative portfolio analysis and advanced AI-supported decision-making in a way that is rarely found in a single solution.

Explore the full analysis to discover what sets the BICon Investment Lab apart.

No other publicly available product combines rule-based UCITS ETF portfolio construction, deep quantitative simulation (with fat-tail distributions and crisis correlation regimes), look-through decomposition, currency hedging modeling, WHT optimization, and professional-grade export in a single zero-friction interface.

The prompt engineering in bicon.co is genuinely sophisticated for a free tool. The dynamic constraint injection, mandatory ETF validation guardrails, two-mode design, and structured import round-trip represent a well-thought-out human-AI workflow.

Online report · Independent analysis by Claude (Anthropic)

Claude (Anthropic) · Independent assessment, 11 June 2026

How it works

Three steps from blank canvas to institutional-grade portfolio.

01

Define

Set your constraints — base currency, investment horizon, risk appetite, equity target, number of ETFs, exchange preference, thematic tilt, and hedging.

02

Generate

Receive a fully structured allocation with ETF-level detail, asset class weights, geographic breakdown, and a plain-language rationale for every decision.

03

Analyse

Stress-test against historical crises, run Monte Carlo simulations, compare portfolios side by side, and export a professional PDF report.

Four analytical modules.

Covering the full decision cycle from construction to explanation.

Build Portfolio

Define your constraints: base currency (CHF and others), investment horizon, risk appetite, target equity allocation, number of ETFs, preferred exchange (SIX Zürich and others), thematic tilt, currency hedging, and synthetic ETF inclusion. Inputs are validated against structural coherence checks before a portfolio is generated.

Compare Portfolios

Place two portfolios side by side with full analytical depth — geographic allocation breakdown, risk and performance metrics (expected return, volatility, Sharpe ratio, max drawdown), deterministic scenario stress tests (2008 Financial Crisis, 2020 COVID Crash, 2022 Rates Shock), and Monte Carlo simulation.

Explain My Portfolio

Enter any ETF or combination of ETFs — your own selection, not a generated one — and get a full look-through analysis: asset class weights, geographic exposure, risk and performance metrics, scenario stress tests, and a plain-language rationale for the overall structure. No black boxes.

Try it

Methodology

Rule-based, not AI. Every assumption and formula is documented — capital market assumptions, correlation matrix, look-through routing, FX hedging, withholding-tax drag, and Monte Carlo simulation. No live market data. Fully deterministic.

Bring your own portfolio

Already hold ETFs? Run the analysis on what you own.

The Explain My Portfolio module lets you enter any ETF — by ticker or ISIN — and receive the same institutional-grade look-through analysis as a generated portfolio. Understand exactly what you hold, what risks you carry, and how coherent the structure is.

  • Add any ETF by ticker or ISIN — not limited to generated portfolios
  • Full look-through to underlying asset classes and geographic exposure
  • Risk & performance metrics: expected return, volatility, Sharpe, max drawdown
  • Scenario stress tests: 2008 Financial Crisis, 2020 COVID Crash, 2022 Rates Shock
  • Monte Carlo simulation across your investment horizon
  • Plain-language rationale for every position in the portfolio
Explain My Portfolio — ETF position builder
Live in the Lab
Your house view

Your assumptions.Your benchmark.Your investment process.

Turn the global market portfolio into your own investment framework. Customize, save and reuse your house view across portfolio construction and investment proposals.

Your settings

Inputs you can edit live in this view — values are stored locally and override the defaults everywhere in the app.

ETF Catalog & Overrides
Locally overridable
Capital Market Assumptions (CMAs)
μ / σ editable
Risk-Free Rate (per base currency)
Editable
Home-Bias Multipliers & Portfolio Construction
Home-bias editable
Benchmark (MSCI ACWI Proxy)
Weights editable
AI + Lab workflow

Two Portfolios. One Intelligent Comparison.

Deterministic finance meets AI intelligence.

The Lab generates a fully deterministic, rule-based portfolio proposal. A one-click Copy AI Prompt gives you a CFA-level briefing to paste into any AI — ChatGPT, Claude, Gemini, or any other. The AI responds with its own recommendation, including a plain-text import block you paste straight back into the Lab's Explain module. The Compare tab shows both side-by-side across every key metric.

01

Build Reference Portfolio

Create a rule-based portfolio tailored to your risk profile, horizon, currency, and preferences.

02

Generate AI Briefing

One click creates a CFA-level prompt for any AI model — ChatGPT, Claude, Gemini, or any other.

03

AI Creates Proposal

AI returns a portfolio proposal with a plain-text import block ready to paste.

04

Import into the Lab

Paste the block. The Lab automatically maps ETFs, allocations, and data.

05

Compare Side-by-Side

Both portfolios across all key metrics and scenarios — expected return, volatility, Sharpe, Monte Carlo, cost.

06

Decide with Confidence

Two independent perspectives. Zero manual data entry. Better decisions.

Investment Decision Lab — Two Portfolios. One Intelligent Comparison.
Full Look-ThroughCurrency HedgingMonte Carlo SimulationCVaR AnalysisPaginated PDF ReportsScenario Stress TestsVast Allocation BreakdownsTail RealismExcel ExportsWithholding Tax DragFull Look-ThroughCurrency HedgingMonte Carlo SimulationCVaR AnalysisPaginated PDF ReportsScenario Stress TestsVast Allocation BreakdownsTail RealismExcel ExportsWithholding Tax Drag

Structured output, not a spreadsheet.

Every portfolio generated includes a full breakdown across asset classes, regions, and instruments — with the rationale to back it up. Exportable as PDF for client presentations or investment committee review.

  • Investor Profile SummaryCurrency, risk, horizon, equity target, ETF count
  • Target Asset AllocationCash, Bonds, Equities, Satellites with precise weights
  • Geographic BreakdownUS, Swiss, European, EM, Japan, UK equity exposure
  • Allocation by BucketPer-ETF holdings table with asset class and region
  • Risk & Performance MetricsExpected return, volatility, Sharpe ratio, max drawdown
  • Scenario Stress Tests2008 Financial Crisis · 2020 COVID Crash · 2022 Rates Shock
  • Monte Carlo SimulationProbabilistic range of outcomes over your investment horizon
  • PDF ExportStandard report and detailed institutional-grade PDF

Rules-based

Every portfolio follows a consistent, documented set of construction rules — not discretionary judgement.

European focus (CH · EU · UK)

Optimised for Swiss, EU, and UK investors — with home-bias multipliers and withholding-tax drag per base currency.

Scenario-tested

Portfolios are stress-tested against three major historical crises before you commit to a structure.

Coherence-validated

Inputs are checked for structural coherence before any portfolio is generated. No silent errors.

Monte Carlo Simulation

Project portfolio outcomes across thousands of simulated paths. Visualise return distributions, drawdown risk, and probability of meeting your investment goals.

Full Look-Through

Allocations are decomposed through ETF holdings to the underlying asset class and geographic exposure — applied across all risk calculations, stress tests, and portfolio breakdowns.

Transparent by design

The app is intentionally rule-based and offline — no AI, no live market data, no probabilistic optimiser. Every assumption, formula, and source is documented: capital market assumptions, correlation matrix, look-through routing, FX hedging, withholding-tax drag, and an optional Monte Carlo projection. Identical inputs always yield identical outputs.

Interested in a professional dialogue?

The Investment Decision Lab is a non-commercial technology showcase — not a product or service. If you want to discuss the methodology, explore the analytical capabilities, or have a professional conversation about portfolio construction, the BICon team is open to dialogue.