Know the odds before you take the trade.
EdgefulFinder scores every major market on technical structure, institutional positioning and the macro backdrop — then backs it with probability reports built from exchange history. Fifteen tools in one terminal: reports with weekday and size subreports, COT positioning, macro, carry, seasonality, currency strength, and on All Access a strategy lab that backtests a rule and tells you honestly whether it beat simply holding the asset.
Research & probability
What has actually happened — quantified, with the sample size printed on every number.
Asset Scorecard
One gauge per market fusing technical structure, institutional positioning and company fundamentals (SEC EDGAR) into a single 0–10 bias, with every driver listed.
Probability Reports
Ten setups quantified across history — gap fill, opening range breakout, initial balance, fair value gaps and more — each split into subreports by weekday and gap size.
Daily Bias Screener
Rank the full universe in one table. Sort by score, momentum or any sub-score to see where the alignment actually is.
Seasonality
Average return by month and by weekday, computed from ten years of sessions — the two breakdowns where a calendar edge would show up.
Economic Calendar
The next scheduled CPI, payrolls and FOMC releases, with the cadence and the latest print for each.
Institutional & macro
What the large players are positioned for — and the backdrop they are positioned against.
Institutional Positioning (COT)
CFTC Commitment of Traders: commercial vs speculative net positioning, open interest and crowd long share, with three years of weekly history per market.
Macro Dashboard
Thirteen series across inflation, labour, growth and rates — CPI, PCE, payrolls, GDP, retail sales, yields and the Fed funds rate.
Risk On / Off
A single risk-appetite read for the day, with a Bitcoin/Gold ratio backdrop for context.
Carry Scanner
Policy-rate differentials weighed against realised volatility, because a high carry is only worth holding if it survives the drawdown.
Currency Strength
Eight majors scored in log space across four horizons, using only the FX pairs already in the universe.
Automation · All Access
Test whether a rule is worth trading at all — before it costs you money to find out. No broker auto-execution is offered on any tier.
Strategy Lab
Backtest ten classic rules on up to ten years of daily bars, then stress the result three separate ways.
In-depth Backtesting
Return, CAGR, max drawdown, Sharpe, Sortino, profit factor, expectancy and exposure — with entries filled at the next bar’s open, so no signal is acted on before it exists.
Monte Carlo Stress Test
500 resampled trade sequences, deterministically seeded so the figure does not drift on refresh, reporting p5–p95 outcomes and drawdown-breach odds.
Prop-firm Simulator
Pass, fail or inconclusive odds under trailing or static drawdown rules and a daily loss limit.
Walk-forward Optimiser
Parameters chosen on the in-sample window only, with the out-of-sample verdict stated whether it held up, weakened or collapsed.
The reality check most backtest screens leave out
On ten years of real S&P 500 data, one of our breakout rules returns +23.13% — while simply buying and holding the same market over the identical window returns +262.28%. The rule trailed the asset it traded.
A backtester that opens on the profit figure invites you to stop reading there, so the Strategy Lab prints the buy-and-hold comparison beside every result and refuses to hide it. That is the point of the tier: knowing which rules are not worth trading.
Coverage
Index futures
ES · NQ · YM · RTY
Metals
Gold · Silver · Copper · Platinum
Energy
WTI Crude · Natural Gas
Forex majors
EUR · GBP · JPY · AUD · NZD · CAD · CHF · ZAR
Forex minors
20 crosses (EUR, GBP, AUD, NZD, CAD, CHF)
Crypto
Bitcoin · Ethereum
Indices
S&P 500 · Nasdaq 100 · VIX · US 10Y
Philippines
PSEi index · USD/PHP
Built for the local market
- Half the price. Every tier lists at 50% of the comparable platform — Core at $24.50 versus $49.
- Pay with GCash or Maya, not just an international credit card.
- Peso pricing at local rates, so there is no surprise on the statement.
- Session-aware timing. Every session report is computed in US/Eastern, so the open you trade against is the real one.
Start on the free tier
Two instruments, two reports, the macro dashboard and the economic calendar — no card required, no expiry. The full feature breakdown, including everything we do not offer, is on the pricing page.