Recommended Workflow
scanner -> sentiment -> risk/trade -> position size -> execute -> diary -> r-multiple -> compounding -> drawdown checks
Use one connected workflow for finding setups, reading sentiment, sizing risk, journaling trades, tracking R, modeling compounding, and stress-testing drawdowns before real money is on the line.
Scan equities and crypto symbols for trend bias, RSI regime, and setup score.
Track market headlines with a directional sentiment signal and source pulse.
Log trades with structured notes, P/L, and R values tied to your playbook.
Define max account risk and calculate safe unit size before entering.
Measure edge quality over time using standardized risk-adjusted outcomes.
Model conservative/base/aggressive position sizes with stop constraints.
Project capital growth with contributions, expectancy, and volatility shocks.
Run probabilistic scenarios to estimate worst drawdowns and ruin risk.
Open the dedicated swap pane for fast execution utility inside your toolkit.
scanner -> sentiment -> risk/trade -> position size -> execute -> diary -> r-multiple -> compounding -> drawdown checks
Protect downside first, then scale size only when expectancy and process quality prove stable over sample size.