SIGNAL · TERMINAL
v6 · CLOUD
TF
INIT
Strategy Preset
80/20 RSI · 1% risk · 2× ATR · 2:1 R:R
RSI Thresholds · BTC
Risk Management
BTC
1
ETH
2
SOL
3
XMR
4
BNB
5
RSI · ALL TIMEFRAMES
1M
5M
15M
1H
4H
Last Price
24h Change
RSI (14)
OB 80 · OS 20
Trend
200 EMA
Last Confirmed
PRICE · BTC/USDT EMA20 EMA50 EMA200
RSI(14) · SELL > 80 · BUY < 20
MACD(12,26,9) MACD Signal
Portfolio Totals
Total Value
$—
— positions
Cost Basis
$—
— with entry price
Unrealized P&L
Allocation
no holdings
Add Holding
Backup & Restore
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Symbol Quantity Current Price Entry Price Position Value P&L
NO HOLDINGS
Add your first position above. Quantity is required, entry price is optional but enables P&L tracking.
Leverage Pressure · Futures Positioning
For each coin in your portfolio, this shows where leveraged traders are positioned on Binance Futures: funding rate, open interest trends, and long/short account ratios. The thesis: when retail leveraged longs are extremely overcrowded, market makers have an incentive to push price down to liquidate them — and vice versa for shorts. Use this as a confluence check alongside the Terminal's star ratings. A BUY signal with overcrowded shorts (potential squeeze fuel) is materially stronger than the same signal with overcrowded longs (likely getting flushed). Updates every 60 seconds.
ADD HOLDINGS ON THE PORTFOLIO PAGE TO SEE LEVERAGE DATA
SIGN IN
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SIGNAL · TERMINAL
Multi-indicator confirmation signals, automatic risk management, and a paper-trading journal — built for learning to trade spot crypto without losing your shirt.
Read first: This is an educational tool for spot trading only — buying coins with cash, not leveraged or short positions. RSI signals fail often, sometimes spectacularly. Even ⭐⭐⭐ trades lose. Paper-trade for at least 30 days here before risking real money.

How signals work in spot

Signals fire when RSI crosses 80 or 20. Each signal is then graded on a 5-star confluence score — one star for each filter that aligns: RSI extreme + MACD agreement + 200 EMA trend + Bollinger Band extreme + RSI/price divergence. BUY = enter a position with cash. SELL = exit a position you already hold. You can't short on spot — a SELL signal when you have no position just means "wait for the next BUY." The Plan tab shows you a checklist of which filters fired so you can see exactly what justified the rating.

The Plan tab adapts to your state

If you have no open position and a BUY signal fires, the Plan shows entry / SL / TP / position size. If you're already holding and a SELL signal fires, the Plan flips to show your exit price + actual P&L on the position. One tab, two modes.

The Journal tab tracks your record

Every trade you take is saved (across sessions). When price hits SL or TP, it's auto-closed. You build an honest record of how the strategy performs for you.

The Backtest tab tells you the truth

Before trusting any setting, check whether it would have beaten just holding the coin. If your strategy underperforms HODL by 15%, just hold.

New in v4

Strategy presets in settings (Conservative / Balanced / Aggressive). Coin scanner at top shows all 5 coins live. Trade notes on every journal entry — write what you learned. Drawing tool (DRAW button on chart) lets you mark support/resistance levels. Equity curve in the journal visualizes your P&L over time.

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