Flexible scanners, strategy data, and flow signal you need to secure the bag. (Or in our language: print tendies)
Cross-asset multi-factor screening, real-time options flow, and systematic strategy engines in one terminal. Built for active retail traders who know “tendies” isn’t just a meme—it’s the entire objective.
Screening, flow, analysis and systematic strategies in one terminal
Scanners
Universal, swing and intraday discovery.
One multi-factor screen over the whole universe, plus purpose-built scans for the setups worth waking up for. Filter on Sharpe, breadth, regime, ADR or structure, then export or push straight to a watchlist.
Filter categoriesTrending indicators
ADR %>=4
Trend Buffer<=0.5
Vs Low Lag 200Above
Ribbon Flip BullOn
TD SetupAll
Macro Pivot<=0.5
ConvergenceBullish trend
BWET4.0652W HightodayUNR 1010 sessEnergy
CLMT2.8152W High1 sessUNR 209 sessBasic Materials
TXG2.64Weekly BO4 sessUNR 10todayHealthcare
VLO2.5152W HightodayUNR 2024 sessEnergy
Sharpe leaders1Y rolling
ANET3.42+1.84%Technology
VST3.11-0.62%Utilities
RVMD2.49+2.37%Healthcare
ECO2.47+0.41%Industrials
Universal Scanner
Convergence
Alpha & Horizon
Tactical intraday
Options Flow & Positioning
What the size is doing, and where it pins.
Option Alerts and Net Flow on one side, dealer positioning on the other -- Gamma Radar plus gamma and vanna exposure mapped by strike, with dark pool prints marking the levels that actually traded.
GEX MapNet by strike
Short gammaLong gamma
Option Alerts
Net Flow
GEX / VEX Maps
Dark Pool Levels
Ticker Analysis
Regression, mean reversion and correlation.
Regression channels with a mean reversion trigger history, a correlation engine for what a name actually moves with, and the headlines against the move. All drawn over the proprietary indicator set -- Low Lag moving averages, the momentum trend ribbon and anchored VWAPs.
Correlation engine1Y, log returns
Moves with
SMH0.94
QQQ0.88
AVGO0.83
XLK0.79
Moves against
TLT-0.61
GLD-0.47
XLU-0.33
Regression & mean reversion
Correlation engine
News
Near real-time quotes
Systematic Portfolio Strategies
Quantitative strategy ideas, with the receipts.
Trident tracks momentum and liquidity; Helix targets structural alpha. Regime charts and 13-F institutional tracking sit alongside, and every strategy exposes its ledger and drawdown profile against twenty years of history.
Equity comparisonMax DD -21%
StrategySPYQQQ
Trident & Helix
Regime charts
13-F tracking
20-year backtests
Proprietary indicators
A trend ribbon that shows conviction, not just direction
The ribbon widens as momentum builds and compresses as it stalls, so a chart says how committed a move is before it says which way it went. It is drawn on every symbol in the terminal, and every scanner that filters on trend is reading the same geometry.
Low Lag MAs
A moving average stack tuned for less lag than its period implies.
Trend ribbon
The stack drawn as a band: direction is its colour, conviction is its width.
Anchored VWAPs
Volume-weighted price from a fixed event — an IPO, a swing high, a swing low.
Daily bars. The ribbon sits flat and tight through the base, then turns and fans out as the advance accelerates — the expansion is the signal the Convergence scanner gates on.
Pricing
One flat matrix, monthly subscription, no commitment