Quick Guide

← Dashboard
6:15 AM — Before Market Open

Check Today's Picks /today

1
Open /today. Read the market context pills.
If VIX is "High" or SPY is "Bearish" — consider sitting out.
2
Swing pick? Buy shares near Entry. Set stop loss. Set target.
Buy Near the Entry price shown on the card
Stop Loss Set at Stop price — exit if hit
Target Sell at Target price
Max Hold Close after 15 trading days regardless
3
Options pick? Click "Open Calculator →" on the card.
Action Buy a CALL at the suggested strike
Expiration 30–45 DTE
Take Profit +100% of premium paid
Stop Loss −50% of premium paid
Max Hold Close before 30 DTE remaining
Size Risk 2–5% of account per trade
Midday / Anytime

Monitor Positions /positions

1
Open /positions. Check the alert banners at the top first.
Red
Within 3% of stop — watch closely or exit
Amber
≤3 days left on max hold — plan to close
Green
Within 3% of target — consider taking profit
2
Check the proximity bar on each row. Left (red) = near stop. Right (green) = near target.
3
Click any row to open the drill-down. Enter what you actually paid and when to see your real P&L chart.
4
Recent Exits at the bottom shows what closed in the last 7 days and why (stop, target, or max hold).
Weekend

Review Performance /performance

1
Hero card at the top shows the portfolio sim (if you put $1K in every pick).
2
Weekly returns table — are things improving or getting worse week over week?
3
Score buckets — do 85+ picks outperform 80-84? If not, raise the threshold.
4
VIX regime table — shows which market conditions the system works best in.
5
Use filters on the pick table to isolate swing vs options, open vs closed, or by score range.

Rules to Remember

Picks are alerts You execute trades manually in your broker
Score ≥ 85 High conviction — green border
Score 80–84 Moderate conviction — amber border
No picks? Scanner runs 6:15 AM PST. If empty, nothing passed the threshold.
Max 15 days Close every position after 15 trading days. No exceptions.