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What you get for priceLabel("PRO")

Everything behind
the score.

Twelve factors. Three horizons. Plain English. Buy, sell or stay-away on every market we watch — with the reasoning written out so you can decide for yourself.

54
Markets watched
FX · stocks · crypto · metals · energy
12
Factors per market
Same framework every instrument
4h
Research refresh cadence
News within 15 min (Pro/Elite)
0
Jargon
If we use it, we explain it
12-factor engine

Twelve different lenses,
one number.

Every instrument runs through the same 12 factors. Each one scored 0–10 independently, blended into the composite using weights that shift by horizon.

Trend, momentum, supply & demand, volatility, breadth, cross-asset, macro, news, social, big-buyer flow, seasonality, valuation. Same rigour applied to gold as to dogecoin.

  • No hand-tuned weights — back-tested per horizon, retrained quarterly
  • Tap any factor to see the breakdown and read the explanation
  • Confidence rating shown alongside the score — you know how strong the signal is
NVDA · Score breakdownLive · 14:42 BST
Trend
9.0
Mom.
8.6
S&D
7.8
Vol.
6.2
Brd.
8.2
Cross
8.0
Macro
8.5
News
9.0
Social
6.4
Flow
8.8
Seas.
5.8
Val.
5.4
8.4
Composite · This Week
Nvidia
Buy · high confidence
Bipolar scoring

The score is the recommendation.

No vague signals. No quality-only ratings. Score above 6.5 = buy. Below 4.4 = sell or short. Anything in between means stay away — not "neutral", not "wait" — actively don’t trade this right now.

A score of 3.2 isn’t weakness. It’s an active sell setup with a clear short rationale — the same rigour as a buy, just in the other direction.

  • Every instrument always tells you what to do
  • Cooldown on score crossings — no whipsaw signals
  • Stay-away calls explain why — earnings binary, mania levels, no edge
Score bandLive examples
Score scale
SELL
0–4.4
STAY AWAY
4.5–6.4
BUY
6.5–10
XAU/USDGoldBuy8.6
TSLATeslaStay5.4
USOUS OilSell3.2
Plain English

Built for people who don’t
speak finance.

Every factor explanation, every level rationale, every catalyst summary — written in plain English. No "RSI divergence on the 4-hour chart" without telling you what that means.

Bold key phrases for fast scanning. Every level (buy / stop / target) comes with a one-line "why this number" so you understand what you’re actually risking.

  • Every term gets defined the first time it’s used
  • News events scored for impact — not just headline summaries
  • "What would change this score" rationale on every instrument
Same fact · two styles
RSI(14) at 73, MACD bullish crossover, price above 200-DMA, ADX 38 confirms directional momentum, volume 1.4× 20-day SMA
Price has been making higher highs for 6 weeks, and trading volume is 1.4× the normal level. Buyers are clearly in control here.
Levels for "This Week"
Buy near $192
Yesterday’s breakout retest
Stop $188
Below prior consolidation
Three horizons

Same instrument,
different question.

Are you day-trading NVDA today? Swing-trading it this week? Holding for a month? The factors that matter shift dramatically — and so do the levels.

Today (1–8h) weights momentum and order flow. This Week (1–5d) blends trend with macro alignment. Long Term (1–4w) is where seasonality and valuation come into their own.

  • Switch horizon with one click — levels update instantly
  • Hit-rate stats published per horizon — transparent
  • Set a default horizon in Settings (most users pick This Week)
NVDA · HORIZON SWITCHER
Today
This Week
Long Term
NVDABuy · This Week (1–5d)8.4
Buy near
$192
Stop
$188
Target
$215
On the "Today" horizon, this same setup scores 7.2 — over-extended for an intraday entry. Wait for $194 pullback.
Opportunity Scanner

Sweeps every market
we can see.

Not just the 54 markets on your radar. The Scanner runs across the whole observable market — ranks setups by score, surfaces the strongest 6–15 each hour, and keeps them live for 5 days.

Filter by horizon. Filter by buy / sell / stay-away. Hit-rate published for every category so you can audit our research.

  • Buys, sells, AND stay-aways all surfaced — not just bullish ideas
  • Stay-away cards explain WHY — earnings binary, news pending, mania
  • Each setup carries levels, factor scores, and one-line rationale
Opportunity scanner11 SETUPS TODAY
XAU/USDGold · #1 rankedBuy8.6
NVDANvidia · #2Buy8.4
EUR/USDEuro · #3Buy7.9
TSLATesla · earnings binaryStay5.4
USOUS Oil · top sellSell3.2
DOGEDogecoin · maniaSell2.8
Watchlist + compare

The instruments you care about, side by side.

Star anything from the 54-market universe. The watchlist shows live scores, recommendations, and price changes — updated on your tier’s refresh schedule.

Switch to the compare view to see all 12 factors for every watchlist instrument as a heatmap. Spot which factor is dragging the score down. Spot the strongest setups at a glance.

  • Drag-and-drop to reorder — favourites at the top
  • Export to CSV for your own records
  • Daily digest email summarises the day’s changes across your watchlist
Your watchlistLive
XAU/USDGold$2,438Buy8.6
NVDANvidia$197.40Buy8.4
EUR/USDEuro1.0865Buy7.9
BTCBitcoin$68,420Stay5.8
USOUS Oil$74.20Sell3.2
Refresh tiers

Real-time when it counts,
batched when it doesn’t.

Pro ($59/mo) refreshes every 15 minutes during market hours. Great for swing traders and position builders.

Elite ($129/mo) refreshes every 5 minutes and unlocks options flow + dealer gamma tracking. For day traders and serious quants.

  • Both refresh instantly on alerts
  • Markets closed? We batch to hourly — save your refresh quota
  • Transparent refresh history — see how fresh every score is
Refresh schedule
Free
Every 4h
Scores · News 4h stale
Pro
Every 4h, hourly view
News within 15 min
Elite
At generation
News within 15 min + flows
Track record · rolling 30 days
75%
Hit rate
Buy and sell setups that reached first target
2.8
Avg risk : reward
Across all closed Scanner setups
186
Alerts fired
Per active Pro user, last 30 days
96%
Score accuracy
Composite vs back-tested ground truth

How TradeRadar stacks up against the alternatives.

There are great charting tools. There are great news tools. There are great research desks. Nothing puts them together with a single 0–10 signal in plain English.

Capability
TradeRadar
TradingView
Bloomberg
Single 0–10 score per instrument
Plain-English explanations
Pro
12-factor framework
DIY
DIY
Buy / sell / stay-away signal
Cross-market scanner
Filter
Options flow + dealer gamma (Elite)
Monthly cost
$59 / $129
$15 / $30
$2,000+

The questions we get most.

Is this investment advice?

No. TradeRadar is information — the same 12 factors that professional desks already track, surfaced in plain English with a clear score. You decide whether to act on it. We never tell you how much to risk or how to size a position.

Where does the data come from?

Free public sources — Yahoo Finance for prices, FRED for macro, CFTC for COT positioning, CBOE for options. No expensive data feeds, no terminal subscriptions. That’s how we keep the price at $59/mo for what would otherwise cost thousands.

How is the score calculated?

Each of the 12 factors is independently scored 0–10 by a back-tested model. Weights shift by horizon — Trend dominates "This Week", Macro dominates "Long Term". Composite is a weighted average. Retrained quarterly against forward-walk back-tests.

Can I cancel any time?

Yes — instantly, in Settings → Billing. You keep full access until the end of your billing period. No call required, no winback friction. Trial cancellations don’t need a card on file.

What happens to my watchlist if I downgrade?

It stays saved — just hidden until you upgrade again. Same for alert rules: they pause but don’t delete. Re-upgrade and everything comes back exactly where you left it.

Built for the trades you
actually want to take.

7-day free trial. No card on file. Cancel any time. $59/mo Pro afterwards.

$59/mo Pro · $129/mo Elite · 20% off annual · cancel any time