Macro Trade trading analytics dashboard displayed across multiple screens
Why Choose Us

Built for traders who need decisions, not just data

Macro Trade combines predictive modeling, latency-aware execution paths, and risk-weighted scoring into a single workflow — so you spend less time reconciling feeds and more time acting on them.

The Difference

Three reasons traders switch to Macro Trade

Most platforms give you charts. Macro Trade gives you a structured decision process — from signal generation to risk sizing — designed around how professional desks actually operate.

  • Unified signal pipeline instead of disconnected indicators requiring manual synthesis
  • Risk parameters embedded at the point of signal generation, not applied afterward
  • Coverage across FX, crypto, equities, and commodities within one interface
  • Transparent methodology notes attached to every model output
  • Configurable alerting so signals reach you where you already work
  • Tiered access that scales from individual traders to desk-level deployments
  • Consistent data structure across asset classes, reducing integration overhead
  • Documentation written for practitioners, not just for compliance checkboxes
Macro Trade team reviewing market analysis on screen
Our Approach

Analysis you can trace, not a black box

Every output on Macro Trade is paired with the reasoning behind it — the inputs considered, the weighting applied, and the confidence range attached. We built it this way because traders don't act on numbers they can't explain to themselves.

That same principle extends to how we price and structure access: plans are laid out plainly, feature sets are documented in detail, and nothing about how the platform reaches a conclusion is hidden behind a proprietary curtain you're asked to simply trust.

Our models are continuously reviewed against live market conditions rather than tuned once and left static — methodology updates are logged and communicated to active users.

How It Compares

What sets the workflow apart

A side-by-side look at how Macro Trade approaches the problems that generic charting tools and fragmented indicator stacks leave unresolved.

Capability Typical charting tools Macro Trade
Signal-to-risk linkage Manual, applied separately Integrated at generation
Asset class coverage Fragmented across tools Unified single interface
Methodology transparency Rarely documented Documented per output
Alerting flexibility Fixed, limited channels Configurable delivery
01

Evaluate

Review live signals and their documented reasoning before committing capital.

02

Configure

Set risk parameters and alert thresholds that match your own trading rules.

03

Monitor

Track positions and model confidence as conditions shift in real time.

04

Adjust

Refine exposure using risk-weighted recommendations rather than static rules.

05

Review

Compare outcomes against the original signal rationale to close the loop.

See the workflow for yourself

Start an analysis session and evaluate how Macro Trade structures signals, risk, and coverage in one place.

No obligation. Explore the platform's methodology and pricing before you commit.