One 0–10 score per market, built from 12 factors, explained in plain English. The system institutional desks use, translated for everyone else.
Three steps. Same rigour for every market.
Yahoo Finance for prices. FRED for macro. CFTC for big-buyer positioning. CBOE for volatility. Every 5 minutes for Elite, 15 minutes for Pro, 4 hours for Free.
Trend, momentum, supply/demand, volatility, breadth, cross-asset, macro, news, social, options flow, seasonality, valuation. Combined into one composite, weighted by horizon.
Every score gets a 2-paragraph narrative. What's happening, why it matters, what would change the picture. Written by Claude Sonnet — no jargon, no hype.
Same questions asked of every instrument. No favourites.
Long-term direction
Speed of acceleration
Quality of nearest zones
Calm or chaotic
Confirmation from peers
Other markets agree?
Economic backdrop
Headline alignment
Retail sentiment
Where the premium is paid
Time-of-year tendencies
Cheap or expensive
No vague signals. Buy. Sell. Stay away. Always.
Active short / sell setup. Same rigour as a buy.
No edge. Better setups exist elsewhere.
Active long / buy setup. Conviction grows with the score.
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