Trader & PM tools
Standalone analytics and workflows. The first three (Sizer, Hypothesis, Options/Charts/Technicals) compute against real prices_daily / EODHD; the rest are scaffolded.
Fixed-fractional, Kelly, ATR-based, and CPPI-style sizing for a single trade. Compute share count from account size, entry, stop, and risk %.
“When X happens, what happens next?” Pick a symbol + rule, get win-rate, avg next-day return, and Sharpe of the rule firings over the last year.
Cross-asset relative-value scanner: ADR vs ordinary, ETF vs basket, futures basis, ETF NAV premium / discount.
Log thesis + key catalysts + invalidation level. Tracks P&L attribution against the thesis call as price evolves.
Markdown notes that can deep-link any /issuer / /macro / /portfolio analytic. AI analyst review built-in.
Pre-trade checklist: sizing, technical / fundamental / risk score, news scan. No execution — exports to your OMS.
Live EODHD options chain by symbol with calls / puts laid out around the ATM strike.
Daily close chart with 1m / 3m / 6m / 1y / 5y switcher. Provider chain auto-picks the best source.
SMA(50/200), RSI(14), 1y return, 52w window for any symbol — computed from /api/candles.