▼ THE TERMINAL · GUIDED TOUR

Every tab. Every feature.

24 focused workspaces. Click any tab in the sidebar to jump, or scroll the whole tour.

01
HOME

Your live trading overview.

Everything that matters at a single glance.

The Home tab is your control deck. The SmartEntry conviction meter mirrors the live engine, key levels populate from the latest analysis, recent trades carry their auto-grades, and the macro strip shows VIX, yield curve, FOMC expectations, stress regime, and geopolitical risk - all without a single click. The pipeline runs server-side every five minutes; you just watch.

  • SmartEntry hero meter · live conviction score 0–100 with the 70-fire marker
  • 4-card key data grid · GEX regime · orderflow · active setups · next macro
  • Quant metrics ribbon · VWAP DEV · IV rank · IV percentile · skew rank · VRP rank
  • Core-7 radar · composite signal radar with bias + contributors
  • Microstructure tiles · Kyle λ · Glosten-Milgrom spread decomp · Hasbrouck IS
  • 0DTE probability table · per-strike close + touch probabilities
▼ SMART ENTRY
LONG
0
▼ GEX REGIME
CW585PW575γ-FLIP578
▼ ORDERFLOW
CVD+12.4kTILTBUY
VIX 14.2YIELD 4.21FOMC HOLDSTRESS LOW
▼ SMART ENTRY ENGINE■ ARMED
SCAN
CONS
ADJ
TRIG
ARM
FILL
MGT
EXIT
LONG
0
aggressor imbalancelong · 0.72
sweep & reclaimlong · 0.81
absorption-
delta divergence-
02
ENGINE

SmartEntry - conviction-scored entries only.

Quality over frequency. Fires only at conviction ≥ 70.

Four orderflow trigger detectors run continuously: aggressor imbalance, absorption, sweep & reclaim, delta divergence. Each fires with a strength score. Combined with structural levels, vol regime, ML confluence, and an optional Gemini adjudicator, the engine produces one composite conviction 0–100. Below 70, nothing happens. Above 70 with confluence, you see a TRIGGERED event with a complete plan - entry, stop, targets, R-multiple - already costed.

  • 8-phase live strip · scan → consider → adjudicate → trigger → arm → fill → manage → exit
  • 4 orderflow triggers · built on professional microstructure research, validated against years of tape
  • Server-side guardrails · daily-loss stop, news blackout, opening-range lockout
  • Live thinking feed · 200-line ring buffer of every engine event
  • Promote-to-bracket · one click sends the plan to the broker stage
03
ANALYSIS

The full AI brief, structured.

Already generated by the time you arrive.

The pipeline pulls the full chain, computes first-, second- and third-order Greeks, runs the 25-layer vol framework, and synthesizes everything into a structured trade brief - regime, walls, expected move, microstructure, macro, ICT pattern read, recommended stance, conviction grade. The narrative is grounded in the level map; tactical bias is grounded in orderflow.

  • Auto-generated · the server-side pipeline runs every 5 minutes
  • Time-decayed cache · structural reuse keeps token costs low
  • GEX topology chart · per-strike walls + cumulative gamma
  • Key levels table · with strength scores
  • Re-runnable · regenerate on-demand if you want a fresh take
▼ AI ANALYSISA+ CONVICTION

regime: short-gamma. dealers selling rallies, buying dips. expect compression toward 580.

walls: call wall 585 dominates near-term. put wall 575 reinforced by 0DTE flow.

tactical: long bias above 578.50. fade rejection at 585 if vol expands.

▼ FOOTPRINT · live
585
584
583
582
581
CVD +18.4kTAPE BUYΔ +2.1k/min
04
ORDERFLOW

Live tape. Live footprint. Live truth.

CVD, aggressor delta, dealer regime - all streaming.

Connect the desktop relay and CharmCast pulls real footprint data from your broker feed (Tradovate, Rithmic, MotiveWave bridge). The four trigger detectors run on top of the raw stream. You see the imbalance before it shows up on a chart; you see the absorption before price reacts.

  • Footprint chart · per-price aggressor breakdown
  • Tape stream · time & sales with size-weighted highlights
  • Heatmap · resting liquidity at every price
  • 4 trigger detectors · feed the SmartEntry engine in real time
05
VOL

TRUE σ - a 25-layer view of volatility.

Realized vs implied, all the angles, one synthesis.

Seven complementary readings of realized vol cross-checked against the implied surface - IV rank/percentile, skew, vol cone, forward vol, tail-risk skew, implied higher moments, stochastic-vol fit. The formal VRP tile tells you when implieds are rich versus realized so you know whether to be long or short premium intraday.

  • 7-tile realized pack · seven cross-validated reads of realized volatility
  • Microstructure vol · second-by-second flow vol, residual vol, aggressor delta, cancel %
  • Surface diagnostics · vol-of-vol forecast, leverage-effect forecast, tail-risk skew, implied moments, vol cone 20D
  • Formal VRP · variance-swap-priced premium read (rich / fair / cheap)
▼ TRUE σ · 7-TILE PACK
SAMPLE c418.2%
REALIZED17.8%
PARKINSON19.4%
EWMA 0.9416.9%
NEWEY-WEST17.5%
MEDIAN RV16.2%
BIPOWER17.1%
VRP+8.4% (rich)
▼ AI EXECUTION PLAN
ENTRY580.42
STOP578.20
T1 / T2583.10 / 585
1PREVIEW
2SIZE
3GUARDS
4SEND
TradovateIBKRNinjaTraderApexTopStep+8 more
06
EXEC

AI plan to broker bracket - in four steps.

Server-side risk gates verify before the order fires.

Promote a SmartEntry signal to a full execution plan, then walk it through the 4-step bracket stepper: PREVIEW the entry/stop/targets, SIZE based on your risk-per-trade, check GUARDS (news blackout, daily loss stop, consec loss breaker), then SEND BRACKET to your connected broker. 13 broker integrations including all major prop firms.

  • 4-step bracket stepper · PREVIEW · SIZE · GUARDS · SEND
  • 13 brokers · Tradovate, Rithmic, NinjaTrader, ProjectX, MT5, cTrader, IBKR, Alpaca, TradeStation, Apex, TopStep, MyFunded, FTMO
  • AI execution plan · entry, stop, T1, T2, R:R, size, risk-as-pct-account
  • Management plan · BE move, trail after T1, time stop, kill on FOMC/CPI
  • Server-side risk gates · nothing routes if a guardrail trips
07
RISK

Guardrails that can't be bypassed.

Daily loss, consec loss, news, opening range, max trades - all enforced server-side.

Risk is not advisory. Every guardrail runs in the engine's evaluation loop and zero-scores the conviction before it can fire. Hit your daily loss stop? The engine refuses to fire entries until tomorrow. Too many consecutive losses? 60-min cool-off automatic. News blackout active? No new positions ±15 minutes around scheduled CPI/FOMC.

  • Daily-loss stop · configurable USD threshold
  • Consecutive-loss circuit-breaker · 60-min cool-off after N losers in a row
  • News blackout · ±15min around scheduled high-impact events
  • Opening-range lockout · first 5 min of RTH is wait-and-see
  • Closing lockout · last 15 min, no new positions
  • Fat-finger checks · stop > 5×ATR or target > 8×ATR is rejected
  • MotiveWave watchdog · disconnect → engine pauses automatically
▼ GUARDRAIL STATE
DAY PNL+$240
TRADES3 / 8
LOSS STOP✓ OK
CONSEC0 / 3
NEWSCLEAR
SESSIONRTH
▼ KNOWLEDGE GRAPH · cross-reference17 nodes · 28 links
SPY macro tone vol regime gamma flip IV rank walls VPIN CVD orderflow setups
ROOT MACRO VOL GEX FLOW
08
CANVAS

Obsidian-style knowledge graph.

Every signal traceable to its source. Drag nodes, follow the chain.

A pannable, zoomable canvas where every analysis section is a node and every cross-reference is an edge. Color-coded by domain — macro red, vol purple, gamma green, flow blue. Click any node to lock-open the underlying card and see exactly which research-grounded indicator drove the call. Drag to arrange. Save layouts per symbol — the same setup recurs and you've already mapped how to read it.

  • Force-directed layout · auto-arranges by relationship, drag to override
  • Domain-coloured nodes · macro / vol / gex / orderflow / micro at a glance
  • Bezier edges · parent → child weighted by indicator confidence
  • Pannable + zoomable · middle-mouse-drag, ctrl/cmd+wheel
  • Click-to-trace · which indicator drove which call, in 1 hop
  • Layout persistence · saved per-symbol in localStorage
09
NEWS

Headlines + AI sentiment + risk map.

Recent headlines auto-fold into the next analysis prompt.

A symbol-filtered news stream with per-headline sentiment and impact scoring. The AI reads the wire as it happens; new high-impact items invalidate cached analyses immediately.

  • Live headlines · symbol-filtered, scrolling marquee at top of dashboard
  • High-impact + earnings split · two cards alongside the main feed
  • AI sentiment summary · risk-on/risk-off pill
  • Geopolitical risk map · global risk index with filter pills
▼ HEADLINES · live
HIGHFOMC minutes due Wednesday - pricing 25bp hold
MEDVIX term structure: front +0.4 vs back
POSSPX 0DTE volume hits record on bullish flow
MEDTreasury 10y holding 4.21% range
▼ ECONOMIC CALENDAR
HIGHFOMC DecisionWed 14:00 ET
HIGHCPIThu 08:30 ET
MEDNFPFri 08:30 ET
MEDNVDA EarningsWed AMC
FOMC: CUT 12%HOLD 76%HIKE 12%
10
CALENDAR

Every event that moves the tape.

FOMC, CPI, NFP, earnings, OPEX, triple witching.

A pre-classified calendar of high/med/low impact events. Items inside your news-blackout window auto-disable execution until the print. The FOMC dot expectation tile shows the implied probability of cut/hold/hike.

  • Impact tiers · HIGH (FOMC, CPI), MED (NFP, GDP), LOW (regional surveys)
  • FOMC dot expectation · live cut / hold / hike probabilities
  • Earnings strip · this-week earnings releases by symbol
  • Auto-blackout · disables execution ±15 min around HIGH events
11
MACRO

Institutional macro stack — Tier 1 to Tier 3.

Financial conditions · funding stress · recession gauges · global liquidity · bond risk premium · inflation nowcast · ECB CISS · BOJ.

A live read of every macro lens an institutional desk uses, sourced from FRED + BIS + ECB + BOJ. Each card pulls its own research-paper framework — Cochrane-Piazzesi for bond risk premium, Kim-Wright for the term-premium decomp, Howell for global liquidity, the Chicago Fed NFCI/ANFCI early-warning composite for financial conditions. The AI macro briefing reads them as a single chain-of-causation narrative.

  • Financial conditions · 5-label regime + EARLY-WARN when ANFCI tightens before NFCI
  • Funding stress · SOFR-DFF · IORB · RRP+TGA drain composite
  • Recession gauges · 7-signal composite (Sahm · curves · LEI · NFCI · UMich · claims)
  • Global liquidity · Fed + ECB + BOJ + PBOC FX-adjusted, cycle phase classified
  • Bond risk premium · Cochrane-Piazzesi + Fama-Bliss + Kim-Wright TP10 decomp
  • Inflation nowcast · CPI/PCE/breakevens/TIPS — anchor + dynamics + stickiness
  • GPR transmission · per-sector forward-vol bumps from the geopolitical-risk shock
  • Cross-region stress · ECB CISS daily + BOJ balance-sheet $T equivalent
▼ FINANCIAL CONDITIONSEASY
NFCI z−0.42σANFCI z−0.18σΔ12w−0.05
▼ GLOBAL LIQUIDITYTROUGH
TOTAL$28.4TΔ52w+$0.8T
▼ TERM PREMIUM DECOMP
KW TP100.70%CP factor−322bpFBNEUTRAL
▼ MACRO AI BRIEF
"financial conditions easy + funding normal + global liquidity in trough recovery — structural tailwind for risk at 9-12mo lag. cp factor below avg says duration rich here; lean structural risk-on, fade duration longs into rallies."
12
PREDICT

When does today's HOD print?

Survival-analysis predictor + ML catalog.

Years of intraday history feed a survival-style predictor that tells you the expected minute of today's high and low - conditional on how much of the session has already elapsed. Backed by a catalog of twelve clustering and density detectors that quietly feed the analysis with extra structural context.

  • HOD/LOD time predictor · expected minute · p25 · median · p75
  • 12-method signal catalog · clustering, density, regime, pin-risk, gap detection - calibration shown per detector
  • Regime forecast · directional, volatility, and tape-character probabilities
  • Cross-asset correlation matrix · live pair correlations
▼ HOD / LOD PREDICTOR
HOD EXPECTED10:42 ET
HOD MEDIAN11:15 ET
LOD EXPECTED14:30 ET
CALIBRATION82%
Level clusters · 2 active
Density zones · 3 zones
Pin-risk @ 580 · 0.74
▼ AI BRIEF · 24 SECTIONS
MORNING THESIS
SPOT & KEY LEVELS
REGIME
WALL STRENGTH
VOL SMILE
VANNA FLOW
+ 18 more
13
AI BRIEF

24 reorderable analysis sections.

Drag the ⠿ handle to rearrange. Order persists.

The full-fat readable AI brief, broken into 24 modular sections you can drag into your own preferred order. Want the trade idea on top? Put it on top. Want walls + vol smile front-and-center? Move them. Layout persists across sessions. Export to markdown with one click.

  • 24 sections · thesis, levels, regime, walls, smile, vanna, dealer, 0DTE, 1DTE, EM, term, max pain, cross-asset, vol env, time window, OPEX, historical edge, volume, charm, timeframe, ICT, trade idea, predictions, what's changed
  • Drag to reorder · HTML5 drag-and-drop with visual feedback
  • Export to markdown · pipe to Obsidian / Notion / your own notes
14
HEATMAP

GEX heatmap. Cross-strike, cross-expiry.

See dealer positioning across the entire chain at once.

A grid of every strike × every expiry, color-coded by GEX magnitude. Bright cells are walls; dim cells are corridors. Switch metric to see VANNA, CHARM, DEX, TEX, or VEGA exposure instead. Split-view compares two symbols side-by-side.

  • 6 metrics · GEX, VANNA, CHARM, DEX, TEX, VEGA
  • Split view · compare SPY vs QQQ side-by-side
  • Cross-expiry strip · 0DTE / 1DTE / weekly / monthly comparison
  • Top strikes panel · ranked by aggregate exposure
▼ GEX HEATMAP
▼ PRE-MARKET BRIEFING

overnight setup: ES +0.32%, NQ +0.44%. asia mixed, europe gapped up on PMI beat.

spot vs walls: opening at 580.2, between put wall 575 and call wall 585. expected move ±0.65%.

watch: 8:30 retail sales · 14:00 fed funds · 9:30 SPX gamma flip 578.5.

15
PRE-MARKET

Today's setup, before the bell.

Auto-runs at 8:30 ET. Skim it with coffee.

A pre-classified daily briefing covering overnight futures, prev-day OHLC, expected move, key macro on the calendar, and the structural setup vs walls. Auto-generated server-side; you just read it.

  • Auto-runs at 8:30 ET · ready by the time you check
  • Previous day stats · prev high, low, close, range
  • Expected move · EM%, EM$, EM-high, EM-low
  • Overnight futures · ES, NQ, RTY, YM levels at open
16
MODERN

Build your own Bloomberg.

Draggable widgets. Saved layouts. Edit mode.

A 12-column draggable widget grid where you pick which data lives on screen. Save A/B/C layouts and switch with one click - pre-market mode, RTH mode, expiration-day mode. The widgets pull from the same APIs as the rest of the app, so your custom layout stays live.

  • 12-col grid · resize widgets to any width
  • 6 widget types · overview, gamma, levels, exposure, bias, top strikes
  • Save A/B/C layouts · switch presets instantly
  • Edit mode · drag to rearrange, drop to commit
▼ WIDGET GRID
OVERVIEW · 1-DAY
GAMMA REGIME
KEY LEVELS
EXPOSURE & FLOW
DAILY BIAS
▼ LIVE SIGNALS
DIRECTIONUPconf 78%
VOLATILITYEXPANDconf 65%
TAPEBUYconf 71%
ACCURACY ↑LIVE TRAININGSTABLE
17
SIGNALS

Three live signals. One source of conviction.

Direction · Volatility · Tape - each with confidence.

We continuously train our proprietary model on years of intraday history for your symbols and surface three live calls: where price wants to go, whether vol is expanding or compressing, and whether the tape is trending or chopping. Each comes with a confidence score so you know when conviction is real and when to stand down.

  • 3 live calls · DIRECTION · VOLATILITY · TAPE - with confidence on each
  • Trained on YOUR symbols · one-click historical load gets the model up to date
  • Always learning · the model keeps adapting as the market evolves
  • Self-correcting · auto-rolls back if a fresh training run degrades performance
  • Live accuracy · transparent track record across last 30 / 60 / all-time
18
HISTORY

Every analysis. Every regime. Every call.

Searchable, exportable, never deleted unless you say so.

A list of every analysis the pipeline has run, click any row to see the full output. Useful for back-checking - "the AI said the regime was short-gamma at 9:35; what did it look like at 14:00?" Export to JSON for offline study.

  • List + detail layout · click a run on the left, see full output on the right
  • Export JSON · pipe to your own analysis pipeline
  • Clear all · with confirmation prompt
▼ ANALYSIS HISTORY
SPYshort-gamma14:32 today
SPYtransition13:55 today
SPYshort-gamma13:18 today
QQQchop13:00 today
SPYtrend12:42 today
▼ PERFORMANCE
TOTAL TRADES147
WIN RATE62%
AVG R+0.84
EXPECTANCY+0.38R
SWEEP & RECLAIM71% · 1.2R
ABSORPTION68% · 0.9R
DELTA DIVERGENCE54% · 0.4R
19
STATS

Performance, sliced.

By setup, regime, time window, conviction tier.

Every trade auto-classified by the engine that produced it. Drill into win-rate and expectancy by setup type (sweep+reclaim vs absorption vs delta-divergence), by regime, by session phase, and by conviction tier. See where you actually have edge - and where you don't.

  • Performance summary · trades, win-rate, avg R, expectancy
  • By setup type · which trigger pattern is your money-maker
  • By regime · trend / chop / transition
  • By time window · open vs RTH vs power-hour
  • By conviction tier · A+/A/B/C - your calibration check
20
BRIEFING

Daily briefing + your own research vault.

Notes. Saved. Auto-injected.

Paste your own research notes - Goldman desk-color, Bloomberg dispatches, Twitter threads, your own daily plan - and the briefing AI synthesizes them with the data layer. Notes persist in your vault and auto-feed every future briefing as authoritative context.

  • Daily briefing card · regen, copy, export-to-markdown
  • Research docs subsystem · paste notes, name them, save
  • Auto-context injection · saved notes feed every future briefing
  • localStorage-backed · notes are yours, never leave your machine
▼ RESEARCH DOCS
Title: GS Hormuz analysis
Goldman desk note · short-term oil shock priced into ES vol surface. Fade short-vol ahead of FOMC. Tier 1 hedges in DXY...
· GS Hormuz analysis · 2 days ago
· Powell speech read · 5 days ago
· Q3 earnings playbook · 12 days ago
▼ AI CHATstructural cache · 23min
What invalidates the trade idea?
primary invalidation: 0DTE call wall 585 absorbing for >15min with falling delta. secondary: gamma flip 578.5 gives way + put wall 575 reinforces. exit at 579 if delta divergence flips.
What does orderflow suggest?
aggressor imbalance is 78/22 buy-skewed over the last 5 bars. CVD made a higher high...
Ask anything…
21
CHAT

Ask follow-ups. Token cost stays flat.

Time-decayed cache reuse keeps prompts cheap.

Streaming AI follow-ups with your latest analysis as context. The cache tier chip ("structural cache · 23min ago") tells you exactly what's being reused. Free tier: 20 follow-ups/day. Starter: 80. Pro: 300. Elite: unlimited.

  • Streaming SSE · with blinking-cursor while loading
  • Time-decayed cache · 5 tiers (full / structural / levels-only / metadata / discard)
  • 6 quick-ask suggestions · invalidation, walls, vs-last, orderflow tilt, etc.
  • Per-tier rate limits · 20/day free → unlimited elite
22
JOURNAL

Auto-graded. With the AI's reasoning preserved.

Every trade gets a letter grade. A+ to F.

Every trade - AI-routed, manual, or imported from a prop firm - gets graded A+ to F across four dimensions: outcome, entry quality, exit quality, discipline. Plus a one-line lesson tag. The lessons aggregator finds your top strengths and weaknesses across patterns. See your edge clearly.

  • Auto-graded · A+, A, B+, B, B-, C, D, F
  • 4 grading dimensions · outcome, entry, exit, discipline
  • Lesson tags · "stop respected", "took T1 early", "oversized loss"
  • Strengths + weaknesses · top 5 patterns across your history
  • CSV import · Apex, TopStep, MyFunded, FTMO, Tradovate, NinjaTrader
▼ JOURNAL
SPY · LONG · +2.4RA++$240
QQQ · SHORT · -1.0RD-$100
SPY · LONG · +1.5RA+$150
NVDA · LONG · +0.8RB+$80
SPY · SHORT · +2.0RA+$200
▼ CUSTOMIZE PRO
APPEARANCELAYOUTBEHAVIORFORMATAUDIOKEYBOARDPRIVACYPOWER
ThemeCyan
DensityComfy (-10%)
Conviction threshold70
Sounds enabledON
23
SETTINGS

60+ preferences. 8 sections.

Every knob you'd want, plus a few you wouldn't think to want.

Theme (7 accents), density (3 levels), font, line height, border radius, card shadow, glass intensity, color blindness modes, light/dark, scan lines, vignette, animations, glow, default symbol, default tab, auto-arm engine, confirmations (3), refresh interval, conviction threshold, sounds (5 events with volume), 15 rebindable keyboard shortcuts, currency / number / time / date format, browser notifications, toast position, privacy modes, export/import settings as JSON.

  • APPEARANCE · 7 themes, 3 densities, fonts, radius, shadow, glass blur, color blindness
  • LAYOUT · panel show/hide, status bar position, watchlist position
  • BEHAVIOR · default symbol/tab/DTE, auto-arm, confirmations, refresh interval, engine threshold
  • FORMAT · USD/EUR/GBP/JPY, US/EU/ISO numbers, 12h/24h, ET/UTC/local timezone
  • AUDIO · WebAudio sounds for entry/fill/stop/news/click + volume + heartbeat
  • KEYBOARD · 15 click-to-record rebindable shortcuts
  • PRIVACY · blur PnL until hover, telemetry off, browser notifications
  • POWER · debug overlay, API latency, SSE event count, export settings as JSON
DISCIPLINE

The AI doesn't get to flip its mind every 5 minutes.

Continuity → adjudication → live monitor → audit trail. Four layers of anti-whipsaw.

Most "AI trading" tools re-author from scratch on every analysis run. The result is whiplash - long at 9:32, short at 9:37, neutral at 9:42, all on the same data with the same tape. We don't do that.

  • 1 · CONTINUITY PROMPT · every fresh analysis sees the prior trade idea before it sees current state, with hard rules - default to KEEPING the prior side, only REVERSE with cited evidence (level violation, regime flip, macro shock).
  • 2 · ADJUDICATOR DEBATE · when a fresh analysis still wants to flip, a third voice steps in. It sees both views, defaults to PRIOR, requires concrete justification to award FRESH, and can land on a HYBRID ("keep the side, take the new entry").
  • 3 · LIVE MONITOR · once a signal exists, our model watches price every minute. Every 5 minutes a planner reviews the whole picture and emits one of: KEEP · TIGHTEN (move stop in) · CANCEL. Cancels are routed through a fast executor that confirms in real time.
  • 4 · SIGNAL HISTORY · every decision is preserved. The history tab shows the continuity verdict, adjudicator dissent line, and final outcome, so you can audit the chain of reasoning long after the trade.

Net effect: fewer trades, calmer tape, real edge - the AI behaves like a trader who's already in the trade rather than one analyzing it from scratch every five minutes.

▼ ANALYSIS · 09:32 ETPRIOR
LONG
@ 580.50 · stop 578.20 · T1 583.10
long bias above wall; oil down, rates flat, supportive for tech multiples.
▼ ANALYSIS · 09:37 ETFRESH
SHORT
@ 580.40 · stop 582.20 · T1 577
re-thinking; tape feels heavy on the open.
▼ ADJUDICATOR · verdictKEPT PRIOR
"'tape feels heavy' is not a concrete invalidation. no level violated, no regime flip, oil still down. continue with prior LONG idea. fresh would only have won on a clean break of 580."
DISSENT · fresh was right that breadth is narrow
▼ LIVE MONITOR · CLAUDE × GEMINIKEEP
px 580.92
stop 578.20
age 4 min
"thesis intact. price respecting wall, no concrete invalidation. continue."

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