Not a generic portfolio tracker with an F&O tab bolted on. Every screen below assumes NIFTY, BANKNIFTY, FINNIFTY or SENSEX, weekly expiries, and a trader who is in and out the same day.
Hit any limit and new entries are blocked until it resets. A bad day is survivable; a bad week compounds — daily-only limits let five capped losses in a row pass unchallenged.
One button halts new entries, disables the algo and squares off every open position immediately.
Optionally stop for the day once the target is banked, so a good morning doesn't fund a bad afternoon.
Size from real risk-per-trade and stop distance. Monte Carlo resamples your own trade distribution to show the range of outcomes and the risk of ruin.
Backtested candle-by-candle over six months on 3-minute, 5-minute and 15-minute data. Re-run any window up to a year whenever you want.
| Strategy | TF | Accuracy | Trades | Net R |
|---|---|---|---|---|
| Supertrend Flip (10,3) | 15m | 62.8% | 43 | +13.6 |
| Option Buying — 5m High Win | 5m | 54.8% | 126 | +5.8 |
| 20/50 EMA Trend Cross | 5m | 54.1% | 61 | +16.6 |
| Omni Confluence (All Factors) | 15m | 51.4% | 185 | +8.3 |
| Option Buying — 5m Runner | 5m | 23.2% | 596 | +89.4 |
Pick a strategy, a timeframe and a window; watch every entry and exit drawn on the chart. Or describe one in plain English and let it build the spec.
Multi-leg option structures with payoff curves, margins and greeks, backtested against real contract prices.
Run a strategy on paper or live with your own limits, trailing stop and end-of-day square-off.
One ladder answering "if price gets here, do people buy or sell?" — pivots, OI walls, max pain, swing levels and live depth, ranked by how strongly independent sources agree.
Live NSE chain with OI, change in OI, greeks, IV rank, max pain, PCR and the ATM straddle's implied move.
Multi-timeframe alignment, relative strength, and live greeks on your open positions.
Price levels, IV spikes, India VIX, the day's move, OI trend, confluence direction, or price arriving at a strong level — delivered over WhatsApp and SMS.
IV term structure across expiries, FII/DII activity, sector rotation and five-level market depth.
Candles with indicator overlays, an index scanner with PCR, VIX and breadth, and multi-day swing candidates.
Pull history straight from a Groww P&L statement or your Dhan tradebook — PDF, Excel, CSV or JSON. Re-importing never duplicates a trade, and fills in details an earlier import missed.