Every signal is forged by a Discretionary Trader, validated by a Quant Researcher, and stress-tested by a Risk Manager — with explicit entry, stop & target, position sizing, and probabilistic Bull/Neutral/Bear scenario analysis. Citadel-level rigor. No guesswork.
We don't ship gut-feel alerts. We ship a complete trade thesis with the math to back it up.
Every trade idea validated against 10+ years of tick data before it reaches your desk. Win rate, max drawdown, Sharpe ratio — fully auditable.
Three explicit scenarios per trade — Bull, Neutral, Bear — with probability-weighted P&L. No single-path thinking.
Entry, stop, and target levels calculated to the tick. Kelly-fraction position sizing. Risk/reward never left to intuition.
Full reasoning chain for every signal: macro context, technicals, catalyst, risk factors. No black boxes. Citadel-level documentation.
No tiers. No upsells. Everything Quanex delivers, at one price.
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