Today's signals
The latest daily scan. BUY = an oversold dip inside an uptrend. WAIT = no edge today.
Open paper positions
Opening Range Breakout
Mark the first 15 minutes' high & low. Trade the break only on a retest that holds — long above, short below. Stop = the far side of the box; target = one box height. IFVG (1-minute inverse fair-value gap) is the confirmation. Paper / educational — not financial advice.
Recent-session stats (last ~7 sessions, 1-minute bars)
Session by session
⚠️ Read honestly: this is a simplified model of the rules on free delayed 1-minute data, over only a handful of recent sessions — a tiny sample. It simulates fills at the level (no slippage), and IFVG is approximated. Use it to study the setup, not as a promise. Past results never guarantee the future.
Track record
Who's winning — the engine's picks (AI) versus what you actually did (Human). Paper money only.
Equity curves (paper, starts at 1.00× = your starting money)
Recent closed trades
Per-symbol breakdown
Every symbol the desk watches — its latest call, how its paper trades have done, and whether a position is open right now.
Watchlist
The symbols the daily scan watches. ETFs are baskets of stocks; stocks are single companies.
ETFs
Stocks
Backtest — "Prove it"
Run the exact same rules over years of past prices for one symbol. This shows what would have happened — it is not a promise about the future.
Equity curve (paper, starts at 1.00×)
⚠️ Read honestly: a high win rate alone is not enough. A strategy can win often but lose big on the misses. That's why we also show expectancy (average gain per trade) and max drawdown (worst peak-to-valley drop). Past results never guarantee the future.