An economic calendar that prepares the release before it lands — graded bands, sourced readings and a volatility state.
For each high-impact release the desk prepares three graded scenarios before the number is out, and never rewrites them afterwards. Each asset carries a bias with the sources it was drawn from, so you can check the reasoning rather than take it on trust.
Daily ranges are measured against their 20-day average, and the volatility state steps up ahead of a release. Beside it sits a graded headline desk, with AI briefs for each asset class.
Free, and information only — not a trade recommendation.