Trading pages
These four pages let you analyze and place a specific trade on demand — the same analysis the autonomous engines run, but for one ticker you choose.
Prediction Engine /predict
The full analyst workup for one ticker. It streams its progress (Forecasting → technical & factor signals → Roundtable → analyst view → option strategies) behind an animated overlay, with a live quote box. The result, top to bottom:
- Forecast header with a recommendation badge — RECOMMENDED (confidence ≥ your gate), SPECULATIVE (≥ 50%), or LOW CONVICTION. Rows: Bias (LONG → buy CALL / SHORT → buy PUT), Confidence (with the gate shown), and Median move with a p10–p90 range.
- A "Reading the numbers" legend distinguishing Confidence from POP.
- A factor panel (composite score + drivers: quality, momentum, value, earnings; green ≥ 55 bullish, red ≤ 45 bearish).
- The Models of the Roundtable panel (the judges' votes on this setup).
- A price chart with entry / take-profit / stop levels.
- The analyst view ("Why"): a take-it/pass tag, sentiment, the suggested structure, the rationale, and up to four risks.
- Plan cards for STOCK and OPTION (entry / take-profit / stop, reward:risk, Execute).
- "Strategies around this prediction": a regime summary, a ★ Recommended pick, then POP-scored catalog cards (market POP headline, model POP, and the edge).
Day Trading /daytrade
A streaming intraday option scanner over your watchlist. The header shows DRY RUN / ● LIVE MONEY and autonomous ON/OFF, the target DTE and poll interval, and a Flatten all (panic) button. An "open a position manually" panel lets you place an ad-hoc trade (symbol, instrument, side, $ cost, and a force checkbox that bypasses the confidence/expected-move checks). The scan streams one card per symbol: direction + confidence + Roundtable verdict, the contract and DTE, entry / take-profit / stop tiles, size and cost, and an Execute button (dry-run, an override for un-approved ideas, or EXECUTE LIVE).
Wheel /wheel
Both this and PMCC first show a shared Open Wheel / PMCC — live P&L panel (per-leg table + total + a "Run risk mitigation" button). Then the analyzer: enter a ticker, pick the account, analyze. The wheel result recommends a cash-secured put (or a covered call if you hold shares): a state pill + POP pill, the contract ($strike C/P, expiration + DTE, delta), credit collected, cash secured, ~annualized yield, probability of profit (≈ 1 − |Δ|), and the plan. A 6-month price chart marks the strike, and a Roundtable panel loads async.
PMCC /pmcc
The poor-man's-covered-call analyzer. The result shows a SAFE/UNSAFE diagonal tag, a POP pill, and two leg tiles — LONG LEAP (buy) and SHORT CALL (sell) — each with strike, expiration + DTE, delta, and mark. Rows: net debit (capital / max loss), breakeven (underlying at short expiry) and its date, max profit if pinned at the short strike, income per cycle / return on capital, and the long-leg stop. A risk-mitigation plan, a chart marking both strikes and breakeven, and an async Roundtable panel round it out.