Multi-horizon BIAS across 50+ instruments across 5 asset classes — 24h/48h/72h reads, 50+ news sources analysed by LLMs, and a regime-aware paper-trading desk across Crypto, FX, Equities & Commodities in one dashboard.
Research and analytical tools only — not investment advice. Signals can be wrong. Trading involves risk of loss.
Intel Core Strata is a paper-trading and market-intelligence workspace. Its multi-horizon AI bias engine maps market structure across 24-hour to 7-day horizons, a regime-aware Portfolio Manager adapts to shifting volatility regimes, and it synthesises 50+ news sources into market-bias reads for FX, indices, commodities, crypto, and government bond yields — with a tactical matrix and a 7-day free trial. Live-execution integrations are under development and are not currently available.
Three AI layers work in concert — LLM sentiment from 50+ news sources, Bayesian regime detection, and edge scoring recomputed on settlement across all asset classes.
Hosted large-language models analyse breaking news from 50+ news sources. Each headline receives a sentiment score that directly adjusts multi-horizon BIAS predictions across 50+ instruments across 5 asset classes, updated approximately every 60 seconds.
Bayesian regime classifier identifies TRENDING, RANGING, RISK-OFF, and CRISIS markets on each refresh. Every parameter — stops, targets, sizing, confidence thresholds — adapts automatically. Paper trades generated during the wrong regime are blocked.
Bayesian edge estimates are recomputed as trades settle, per strategy and regime, and cold-start multipliers cap sizing while sample counts are small. Signal Integrity settles every read against what actually happened, daily. We make no claim that this improves accuracy.
Multi-horizon BIAS reads, large-trade print confirmation, 50+ news sources, and regime-aware risk management — updated approximately every 60 seconds.
The engine scans 50+ instruments across 5 asset classes, updated approximately every 60 seconds, and publishes multi-horizon BIAS reads (24h/48h/72h) for each one.
VIX-adjusted heat caps, correlation shock detection, and per-asset-class exposure limits. Stale position manager auto-trims losing paper positions.
Multi-horizon bias (24h/48h/72h), large-trade print confirmation, 50+ news sources, and ATR-calibrated confidence scoring across Crypto, FX, Equities & Commodities.
Bayesian edge estimates are recomputed as trades settle, per strategy and regime, alongside daily Signal-Integrity settlement tracking. No claim is made that this improves accuracy.
Every recommendation shows the complete logic receipt: data sources, LLM model used, confidence level, detected regime, and news sentiment that triggered it.
The same signals drive a paper-trading desk with trailing stops, partial take-profits, and breakeven buffers. Live-execution integrations are under development and are not currently available.
More than 35 analysis surfaces — from AI bias computation, dealer-gamma and flow analytics to paper-trading execution, reporting, and macro calendars.
LLM + lexicon sentiment from 50+ news sources with multi-horizon predictions (24h/48h/72h) and regime-adaptive confidence.
Pair-aware contextual chat. Asks about a specific instrument and the analyst pulls live bias, regime, multi-horizon and news context before answering. Post-event commentary on macro releases (actual vs expected).
Voice readout (Web Speech API) for Tier 0/1 breaking news, high-impact calendar events, and central-bank prints. Persistent Journal of the last 10 alerts — click to replay or open the source — survives refresh and redeploy via Mongo persistence.
Trade / Caution / Avoid signals with EMA-smoothed hysteresis bands. Never flips on noise — only on genuine conviction shifts.
Cluster limits, heat caps, and correlation shock detection. 50% auto-reduction when cluster correlation spikes above threshold.
Bayesian edge estimates are recomputed per strategy and regime as trades settle. Cold-start multipliers cap sizing while sample counts are small.
Trailing stops, partial TP at 1R, stale position lifecycle (alert/trim/close), and breakeven buffer management — on a paper account with simulated fills. Live-execution integrations are under development and are not currently available.
Large individual trades across major crypto and equity venues, taken from a public large-trade feed and surfaced alongside the bias read.
ATR-adjusted outcome evaluation settles each prediction against what actually happened, per instrument, every day — full transparency on how reads resolve.
50+ news sources. Tier 0/1/2 breaking news with hosted LLM sentiment scoring. Central bank tone and geopolitical event detection.
Live rules-based instrument scanner across volume, regime, and confluence. No LLM — pure market data with strategy and tactical meaning.
High-conviction trade ideas, Tier 0/1 impact matrix, top volatility trades ranked, and relative value opportunities — all in one panel.
Visual network showing regime states (Trending/Ranging/Risk-Off/Crisis), VIX correlation, and cross-asset regime propagation.
London, New York, Tokyo session timing with optimal entry windows. Highlights overlap periods for maximum liquidity.
Relative FX pair strength heatmap, updated approximately every 60 seconds. Identifies strongest and weakest currencies for pair selection and divergence plays.
Fed, ECB, BoJ, and 20+ central bank events with AI-predicted market impact. Freeze-scalping alerts during high-impact releases.
AI-generated market summary briefings at 03:00, 08:30, and 20:00 EST. War room intelligence covering all asset classes.
Aggregated sentiment from major social and chat platforms. Tracks crowd positioning and contrarian signals against LLM bias.
Daily summary with conviction scores, regime context, and top movers. Quick-glance overview of what matters today.
Central bank rate differential tracker. Monitors Fed vs ECB vs BoJ policy gaps to identify FX carry trade opportunities.
Cross-market capital flow tracking across equity, bond, and commodity markets. Detects risk-on/risk-off rotation as the data refreshes.
Staleness scoring based on age, drawdown, and ATR. Auto-alerts, trims, and closes legacy positions to protect capital.
Paper simulation on real market data. Simulates regime-aligned setups with entries, trailing stops, partial take-profit at 1R, and full R-multiple tracking — every simulated trade logged. Live-execution integrations are under development and are not currently available.
Reporting across your own trade history, R-multiples, drawdown, and exposure — per-instrument and per-strategy breakdowns settled daily.
Breaking Tier 0/1 news, high-impact calendar prints, and committed trade signals pushed straight to your phone via Telegram — throttled to kill noise, never spam.
Built-in education on market microstructure — gamma, liquidity walls, regime physics, and how every signal is constructed. Understand the why behind each call.
Log every trade with entry/exit, R-multiple, and the signal that triggered it. Per-strategy and per-instrument analytics, plus CSV / exchange import — your full trading record in one place.
Event-driven catalyst detection — flags instruments with an active news / macro catalyst moving the bias, tied to the Tier 0/1 headline that triggered it so you know exactly why a setup lit up.
Intraday scalping tools: session kill-zones, freeze-scalp alerts around high-impact prints, tactical entry lines, and tight-stop micro-structure reads for fast in-and-out trades.
Cross-asset flow board — catalysts, rates momentum, COT positioning, and crypto funding in one tape, each stream tied to the instruments it moves.
Real dealer gamma exposure from live options — gamma-flip level, call/put walls, and net GEX that reveal where dealer hedging dampens or amplifies price moves.
CFTC large-spec positioning across FX, metals, energy, and indices — net longs/shorts and crowding ratios to spot contrarian extremes before they unwind.
Perpetual-swap funding rates across the crypto majors — surfaces crowded long/short positioning and contrarian funding extremes.
Your own watchlist, synced to your account across every device — pin the instruments you trade and jump straight to their bias and deep dive.
Daily sovereign 10Y rates (Fed / ECB / BoE / BoC / RBA / MoF), the US Treasury curve, FX rate-differentials, and tradeable bond-yield instruments (US05Y / 10Y / 30Y).
Per-instrument analysis — multi-horizon bias, alpha class, narrative reasoning, large-trade prints, and a deterministic Logic Receipt showing exactly why it is Trade, Caution, or Avoid.
Affiliate programme under development. Coupon-coded share links and an affiliate dashboard; payouts are reviewed and processed manually.
News intelligence, portfolio management, and paper-trading execution, laid out as they appear in the terminal. The panels below are static mockups with illustrative content — not live product data.
Every instrument gets a full breakdown — multi-horizon BIAS, alpha classification, narrative reasoning, large-trade prints, and a deterministic Logic Receipt pipeline that shows exactly why the PM recommends Trade, Caution, or Avoid.
Drag the regime confidence slider to see how the scoring logic adjusts each recommendation, position size, and flow score. Every value below is generated by this page, not by the live engine.
| Instrument | Class | AI Bias | Confidence | Flow | Size | Signal |
|---|---|---|---|---|---|---|
| BTC/USD | Crypto | Bullish | 86% | $657 | Trade | |
| XAU/USD | Commodity | Bullish | 100% | $657 | Trade | |
| EUR/USD | FX | Bearish | 49% | $598 | Trade | |
| SPX500 | Index | Bearish | 52% | $541 | Caution | |
| ETH/USD | Crypto | Bullish | 71% | $637 | Trade | |
| NVDA | Equity | Bullish | 65% | $612 | Trade |
Start free — the free plan never asks for a payment method. Upgrade to Pro for the full analysis suite and the paper-trading desk, or Enterprise for unlimited AI usage and the read-only tactical data endpoint.
Research and analytical tools only — not investment advice. Signals can be wrong. Trading involves risk of loss.
Not ready to pick a plan? Apply for a free Founder Beta seat → — Founder Beta access may be offered by invitation. Eligibility and access terms are confirmed before activation.
We don’t quote an accuracy number — we publish the ledger. Every call, its timestamp, and how it settled, updated daily on the public snapshot page. Review published market-bias calls and their subsequent outcomes. Signals can be wrong and should not be treated as personalised investment advice.
Every BIAS call is published with a timestamp before its forward window opens. No retro-fitting, no cherry-picking — the call is on the record before the market decides.
Each call is graded automatically against what the instrument actually did over its horizon. Wins, losses, neutrals, and not-yet-graded calls are all counted — nothing is quietly dropped.
The full win/loss split is public, including losing streaks. If the model has a bad week, you will see it — that is the point of publishing the ledger.
Intel Core Strata is a paper-trading and market-intelligence workspace. Its multi-horizon bias engine maps market structure across 24h–7d horizons, a regime-aware Portfolio Manager adapts to volatility regimes, and it synthesises 50+ news sources across FX, indices, commodities, crypto, and bond yields. It provides research and analytical tools only — it is not a broker, investment adviser, or investment fund.
It maps market structure dynamically across multiple time horizons (24h to 7d), scoring directional bias from gamma/liquidity levels, regime state, and cross-asset signals, then gates the call through macro and regime checks before publishing a confidence-rated bias for each instrument. Signals can be wrong and are not personalised investment advice.
50+ instruments across 5 asset classes: FX pairs, stock indices, commodities, cryptocurrencies, and government bond yields — updated approximately every 60 seconds.
Pro is $49/month and Enterprise is $199/month. Both include a 7-day free trial (a payment method is required at checkout; the subscription converts to paid unless cancelled before the trial ends).
Not a general-purpose trading API. The Enterprise tier ($199/month) includes access to a single read-only, rate-limited REST endpoint that returns tactical levels for one instrument. There is no commercial WebSocket API and no order-placement API.
No. Trading features run on a simulated paper-trading desk only. Intel Core Strata does not connect to a live brokerage account and does not route live orders. Live-execution integrations are under development and are not currently available.
Multi-horizon BIAS. 50+ news sources. Regime-aware paper trading — full transparency on every decision.
Research and analytical tools only — not investment advice. Signals can be wrong. Trading involves risk of loss.
Sales enquiries, enterprise deployments, integration questions, or platform support — pick the right channel and a human will respond.
Finance creators, traders, analysts, educators, and market commentators welcome. Manual review — we approve for audience fit and compliance posture. Commission terms and payout mechanics are set out in the application form.