Everything you need to trade. In one place.
Free trading tools and indicators, a live macro meter, daily market analysis and plain-English education — all built in-house.
Free tools and indicators
Built for our own charts first. When something earns its keep there, it ends up here — free, with no licence keys and nothing to sign up for.
Free Currency Strength Meter for the 8 Majors
The eight majors ranked from five macro factors — rates, growth, positioning, risk appetite and commodities. Refreshed through the day, free, no account.
TradingView Position Tool for NinjaTrader 8
Drag your entry, stop and target on the chart. It shades the risk and the reward, and tells you the position size to trade — not just the ratio.
Range Bar Completion Lines for NinjaTrader 8
Draws the two prices that complete the current range bar, updating on every tick. Exact arithmetic, not a projection.
Daily Loss Limit Kill Switch for NinjaTrader 8
Set a profit target and a loss limit. When either is hit it disables your other strategies, cancels every order, flattens every position, then switches itself off.
ATR Stop Loss Indicator for NinjaTrader 8
Plots stop levels a configurable ATR multiple above and below price (default 14-period ATR × 1.5). When volatility rises the lines widen; when it falls they tighten.
Position Size Calculator for Forex and Futures
Works out lots or contracts from your account, your risk and your stop — in pips, ticks or points. Runs in your browser, nothing to install.
Which currencies are actually strong
Eight majors scored from five macro forces — rates, growth, positioning, risk and commodities. Pick a timeframe, switch currencies on and off.
Next scheduled rate decisions
What is moving markets today
Fresh reads through the day across forex, futures, indices and commodities.
5.21% Against 5.26% (29 September 2026): The S&P 500's Earnings Yield Has Caught the 10-Year Treasury — and Earnings, Not the Multiple, Are Carrying the Index
At 19.2x forward earnings the S&P 500 yields 5.21% — level with a 10-year Treasury at 5.26%. The gap was 46bp on 30 June. Here's how that happened.
30 Sep · 9 min
Markets
$8.2bn in Stock, About 0.8% of AMD (28 September 2026): Why a Chipmaker Bought Fei-Fei Li's World Labs — and What It Is Paying With
AMD is buying World Labs for about $8.2bn, all in stock — roughly 0.8% of its share count at Monday's close. Why a chipmaker wants a world-model lab, and the mechanics.
30 Sep · 9 min3.2% Heading for 3.5–3.7% (Eurozone Flash CPI Preview, 2 October 2026): What to Expect and What It Means for the Euro
Eurozone September flash CPI lands 2 October at 09:00 UTC; forecasts run 3.5–3.7% from 3.2%. Core and services, not the headline, decide the ECB's October meeting.
29 Sep · 10 min
Markets
$3.18 on an $18.04bn Bar (Accenture Earnings Preview, 1 October 2026): What to Expect From Q4 — and Why the Fiscal 2027 Guide Is the AI Test
Accenture reports Q4 FY2026 before the open on 1 October. Consensus: about $3.18 EPS on $18.04bn revenue — but the first fiscal 2027 outlook is the real test.
29 Sep · 10 min
Markets
454,000 Against a 497,099 Comparison (Tesla Q3 Deliveries Preview, 2 October 2026): What to Expect — and Why Production Minus Deliveries Is the Number to Read
Tesla's Q3 delivery report is expected Friday 2 October. Consensus sits near 454,000, down about 9% on last year's tax-credit rush. The gap to production matters more.
28 Sep · 9 min
Markets
$104.32 to $108.48 Over One Weekend (28 September 2026): Trump Rejected Iran's Seven-Day Hormuz Plan — and Oil Took Back Friday's Drop
Brent settled at $104.32 on Friday as Iran offered to reopen Hormuz in seven days, then traded at $108.48 on Monday after the US rejected the plan. Why.
28 Sep · 9 minNew here? Learn how to trade
A structured course in plain English, free and with nothing to sign up for.
How markets actually work
Who trades, why price moves, and what you are really buying.
Start → Part 2 · ExecutionOrders, spreads and costs
Getting in and out without giving away the edge you started with.
Start → Part 3 · ChartsReading a chart properly
Candles, timeframes and bar types, without the mysticism.
Start → Part 4 · RiskPosition sizing and risk
The part that decides whether the other three ever pay off.
Start →The Monday macro read.
One email a week: what changed in the macro picture and what it means for the majors. No signals, no upsells.