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One product, one daily journey.

MarketPanda is not a bundle of disconnected tools. Every area below feeds the next: what you learn shapes what you check, what you check becomes your journal, and your journal personalizes tomorrow's briefing.

Today · Panda Pulse

Good morning. London session opens in 42m.

Interface preview

Your day in 60 seconds

Broad conditions read as range-bound with a mild risk-on tilt. The main scheduled catalyst is US inflation data at 12:30. Two of your four watchlist instruments sit inside that risk window, so position sizing and event timing matter more than direction today.

Regime

Range

Risk tone

Risk-on

Volatility

Below avg

Next major event

US CPI (YoY)

03:47:12

  • 08:30London open — spread normalisation
  • 12:30US CPI release — elevated risk window
  • 18:00Central bank speaker — headline risk

Watchlist

  • EUR/USD

    Rate-differential focus

    1.0842

    +0.21%

  • XAU/USD

    Real yields firmer

    2,318.40

    −0.44%

  • US500

    Earnings breadth

    5,214.6

    +0.32%

  • BTC/USD

    Risk appetite

    63,180

    +1.08%

Daily learning mission

Reading an inflation print without guessing direction

7 min · linked to today's CPI

Discipline check

Panda Score 74 · rule adherence improving

Watch: entries taken within 15 min of a red event.

Run Trade CheckAdd journal entry
Demo dataSource: MarketPanda sample setFreshness: Static sample · not live prices
Area 01

Today · Panda Pulse

The default screen. Fifteen seconds to session readiness.

  • Personalized greeting, timezone and live session status
  • Your day in 60 seconds, written at your explanation depth
  • Market regime: trend or range, risk tone, volatility state
  • Countdown to the next event that touches your instruments
  • Risk-window timeline, watchlist cards and instrument drivers
  • One learning mission and a short discipline summary
Area 02

Market Brain

Multi-asset context with the explanation attached to every metric.

  • Asset-class performance, movers and currency strength
  • Volatility, correlation and risk-on / risk-off conditions
  • Sentiment and positioning where legally and technically available
  • Session information and the primary macro drivers in play
  • Every reading states what contributes to it and where it could be wrong
  • Source label and freshness timestamp on every panel
Area 03

Economic calendar and event intelligence

Each release is treated as a mechanism with a scenario range.

  • Localized time, previous, consensus, actual and importance
  • Why the event matters and what may already be priced
  • The transmission chain to affected instruments
  • Scenarios for above, near and below expectations — probabilistic, never certain
  • Contradictory factors and historical reaction patterns
  • Pre-event checklist, post-release summary, initial versus later reaction
Area 04

Macro Map

See the relationships instead of memorising them.

  • Inflation → central-bank expectations → rates → yields → currency → gold and equities
  • Growth → earnings expectations → risk appetite → equities and currencies
  • Fiscal policy → borrowing → bond supply and yields → currencies and risk assets
  • Energy prices → inflation expectations → policy response → affected economies
  • Select an instrument and see only the relationships that touch it
Area 05

Panda Academy

Eleven adaptive pathways, five to twelve minutes per lesson.

  • Learn it → See it → Try it → Apply it → Review it
  • Interactive diagrams, realistic examples and scenario questions
  • Quizzes, mastery levels, progress tracking and spaced repetition
  • Simple, Trader and Deep Dive explanation modes
  • Lessons link directly into events, checks and the journal
Area 06

Panda Guard · Trade Check

A structured second opinion on your own plan.

  • Checks reward-to-risk, position size, maximum risk and daily-loss rules
  • Event proximity, market regime, correlated exposure and session suitability
  • Strategy-rule compliance and conflicts between thesis and plan
  • Behavioural flags: trading after losses, FOMO, revenge sequences, late entries
  • Four scores plus a status: Valid Plan, Proceed With Conditions, Pause or Incomplete
  • Always answers 'what would invalidate this plan?' — never 'buy now'
Area 07

Smart Journal

Convert a check into an entry and let the patterns surface.

  • Manual entries or one-click conversion from a Trade Check
  • Screenshots, setup and session tags, emotion before and after
  • Result in R and currency, rule adherence and lessons learned
  • Analytics on sessions, setups, late entries and news-event performance
  • Win rate, expectancy, planned versus actual risk, performance after wins and losses
  • Sample size and statistical confidence shown with every conclusion
Area 08

Panda Score

A 0–100 process score where profit is not the headline.

  • Preparation, risk control, plan adherence and execution quality
  • Emotional discipline, review consistency, learning progress, strategy consistency
  • Trend, category breakdown and a plain explanation of movement
  • Strongest behaviour, highest-priority weakness and one action
  • Reckless profitability does not produce a high score
Area 09

Ask Panda

A contextual assistant with an honest structure.

  • Explains lessons, events, terminology, instrument drivers and your own journal patterns
  • Every market answer separates facts, interpretation, scenarios and uncertainty
  • Shows source, publication time and retrieval time when sources exist
  • Never invents a source, a live price or an economic value
Area 10

Trader Toolkit

The calculations you should never do in your head.

  • Position size, risk-to-reward, pip value and margin
  • Compounding and drawdown recovery
  • Session clock, correlation tool and volatility comparison
  • Trading-plan builder that feeds straight into Panda Guard