A focused workspace for session timing, risk context, position sizing, PnL scenarios, correlations, and trader preparation.
Live tools
Risk, sessions, PnL, correlation
Use case
Before execution, not after damage
Output
Cleaner plan, cleaner review
Tool roadmap
Economic Calendar, Market Sessions, risk meters, calculators, correlation checks, and compounding projections are live as focused decision-support tools.
After using a tool
Save the plan, run a checklist, or share a process-focused analysis. Do not publish private account size, position size, or PnL.
Live tool
Scan global macro releases, impact levels, forecasts, actuals, and event times in your timezone.
Live tool
Visualize Sydney, Tokyo, London, New York, active sessions, and overlap windows in your timezone.
Live tool
Estimate gross and net profit or loss for FX, CFDs, futures, and crypto before execution.
Live tool
Size FX lots, CFDs, and futures contracts from risk, entry, stop, and contract specs.
Premium terminal
Premium smart-money terminal: token radar, perps monitor, wallet watchlist, and ORACLE workflow preview.
Live tool
Convert pips, ticks, contract specs, and lot size into account risk.
Tool
Reference module for reading growth, inflation, policy direction, and how the economic cycle changes market bias.
Tool
A framework for comparing currencies through policy direction, growth, inflation, yield spread, positioning, and event risk.
Reference
Quick reference for fundamental, macro, central-bank, and risk-sentiment terms that appear in Metavulus research.
Tool discipline
The workspace is organized around three jobs: control risk, understand context, and review the decision.
Risk first
Use calculators before the trade, not after the loss.
Context second
Open macro tools when the market regime is unclear.
Review always
Turn every output into a written plan or post-session note.
Risk note: Tools are provided for education and market preparation only. They are not financial advice or trade recommendations.