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Live Execution

Live + Paper. Stocks, Options, Forex & Crypto.

Connect your brokerage through SnapTrade and trade real money, or test strategies risk-free in the paper engine — unlimited accounts, no tier gate — with AI-scored signals, an Autonomous Trader fleet, and adaptive trading styles.

Live Trading

Real money, real brokers.

Connect a brokerage in seconds through SnapTrade and trade real money from inside Versatum. Webhook-driven position and order sync, and 90 days of order history — across stocks, ETFs, options (single-leg and multi-leg spreads) and crypto pairs.

No part of this is a market feed. Holdings prices refresh on a 5-second poll, only on the tab you are looking at, for stocks and ETFs only, and they come from our own market-data provider — your broker's own per-share price syncs roughly daily.

  • Connect your brokerage through SnapTrade — the partner list is fetched at connect time
  • Stocks · ETFs · Options (single-leg + multi-leg) · Crypto pairs
  • Equities: 4 order types (Market, Limit, Stop, Stop-Limit) × 4 TIFs (Day/GTC/FOK/IOC)
  • Options: 4 order types · Crypto: 6 · Brackets: OCO, OTO, OTOCO
  • 11 multi-leg spread presets plus Custom, up to 8 legs
  • 90 days of order history · 1 order request per second per account
  • Webhook-driven sync for holdings, orders, and activities
  • Multi-account support with one-tap reconnect
  • Trading mode (live or paper) detected automatically
Webull · Margin
Connected
Account Value
$284,512.40
Buying Power
$94,206.18
Day P&L
+$1,248.92
NVDA · Buy 100 @ Limit 142.30
Working
GTC · Submitted 2m ago
AAPL 240C · Sell-to-close 5
Filled
Filled @ $4.12 · 5 contracts · Day
Autonomous Trader

Autonomous multi-agent trading.

Configure AI agents — US Daily, US Hourly, and Crypto — with capital and risk tolerance, then run them in backtest or continuous live mode over a 101-symbol universe. Every fill mirrors to your paper account so you can shadow real strategies risk-free, then graduate them to a live broker when ready.

Autonomous Trader is one of three Pro+ features, alongside the RL Training Lab and Copilot Agent Mode.

  • Three agent types: US Daily, US Hourly, and Crypto
  • Risk tuning 1–10 (default 5) and configurable capital (default $10,000)
  • A 101-symbol universe — the NASDAQ-100 plus QQQ
  • 3 LLM decision steps per day by default, tunable from 1 to 30
  • Backtest, single-run, or continuous live mode
  • Run progress: phase badges, console logs, agent health
  • FIFO-matched trade ledger with per-trade P&L and win rate
  • Paper-trade mirroring for safe shadowing
US Daily — Conservative
Risk 3 · $10,000 · 3 steps/day
Live
US Hourly — Aggressive
Day 8 of 30 · risk 8 · 101 symbols
Running
Crypto — Balanced
Risk 5 · $10,000 · mirrors to paper
Live
AAPL Mirror — Paper
Awaiting next session
Idle
Options

Full options intelligence.

Eight sub-tabs over one symbol — overview, chain, flow, live tape, Greeks & IV, strategies, signals and return simulation — with AI explaining why each signal matters for your specific trade.

Nothing here streams. The chain refreshes every 5 minutes. The Live Tape is a 5-second poll you start yourself — 100 contracts a tick by default, 300 at the ceiling, one symbol and one expiration at a time — and it classifies each OPRA print across 33 trade condition codes, tags an aggressor side with a quote-age confidence, aggregates sweeps (500ms, two or more exchanges), flags blocks at 100+ contracts or $50,000+, and plots session net premium in 10-second buckets.

  • Options chain with bid/ask spreads, refreshed every 5 minutes
  • Full Greeks (Delta, Gamma, Theta, Vega, Rho)
  • IV surface: 7 moneyness buckets across up to 5 expirations, 5–365 DTE
  • Max Pain and Gamma Exposure (GEX)
  • Live Tape: a polled OPRA print classifier with aggressor side, sweeps, and blocks
  • AI-scored put/call signals with reasoning
  • Strategy templates (spreads, straddles, condors)
  • Expiration-aware auto-selection by trading style
  • American contracts priced by the Bjerksund–Stensland 1993 approximation
Options
Options Chain
Options Chain
CALLS
Strike
PUTS
15.20
$250
1.80
11.30
$255
3.10
7.80
$260
5.40
4.90
$265
8.50
2.60
$270
12.10
Greeks
Δ
+0.55
Γ
+0.042
Θ
-0.18
Ν
+0.31
IV Surface
IV Surface
OTM PutATMOTM Call
AI Signals
92
Bull Call Spread260/270 | $3.20
85
Iron Condor250/255/265/270 | $4.10
78
Put Credit Spread250/255 | $1.30
71
Protective Put255 | $3.25
Max Pain
Max Pain$260
250
255
260
265
270
P/C Ratio
P/C Ratio0.72
Puts 42%Calls 58%
Greeks + IV + Signals|Chain · 5-min refresh
1/4
Options Strategies

AI-recommended strategies for your mode.

20 constructions across 19 distinct strategy types, ranked by AI for your trading mode. Day-traders see 0–7 DTE debit spreads and gamma plays. Swing-traders see balanced 14–45 DTE setups with technical confluence. Long-term traders see LEAPS, covered calls, and theta-harvesters.

Every strategy includes a payoff diagram, full Greeks, and a per-strategy AI rationale. American-style contracts are priced with the Bjerksund–Stensland 1993 approximation, so early exercise is in the model rather than assumed away.

  • 20 constructions across 19 distinct types — long calls/puts, spreads, condors, butterflies, jade lizards, ZEBRAs
  • Mode-aware: day (0–7 DTE), swing (14–45 DTE), long-term (90–730 DTE / LEAPS)
  • Strategy Scanner: 12 strategy types across 5 expiration timeframes
  • Per-strategy AI rationale: IV regime, breakeven, manage rules
  • Payoff at expiry chart with breakevens and current price marker
  • Full Greeks per strategy: delta, gamma, theta, vega
  • Probability of profit, max risk, max reward, risk/reward ratio
Options Strategy Recommender
Day Trade
0-7 DTE · Weeklies
Greeks Priority
GammaDeltaVegaTheta
Score Weights
EV
PoP
IV
R/R
Liq
Γ
Stop 50% · Target 75% · Max 5%
SwingActive
14-45 DTE · Monthlies
Greeks Priority
DeltaVegaThetaGamma
Score Weights
EV
PoP
IV
R/R
Liq
Γ
Θ
Stop 35% · Target 40% · Max 15%
Long-Term
60+ DTE / LEAPS · LEAPS
Greeks Priority
ThetaDeltaVegaGamma
Score Weights
EV
PoP
IV
R/R
Liq
Θ
Stop 30% · Target 50% · Max 25%
20 strategies · 4 trading modes|Greeks · PoP · Payoff · AI rationale
1/4
Options Screener

Multi-stock options command center.

Six sub-tabs over up to ten tickers a run. Compare strategies ticker by ticker, track open interest, read the earnings window, and surface unusual activity — then have the AI Brief summarise what you just screened.

Unusual Activity is not a market-wide scan, and we will not pretend otherwise. It works over 24 underlyings by default (12, 24 or 48 by preset, 48 at the ceiling), drawn from a curated liquid list intersected with your own watchlist, and auto-refresh ships off. A wide chain slice flags candidates — 250+ contracts of day volume, $50,000+ premium, strikes within 10% of spot, 120 DTE or less — and a narrow pass confirms the top 100 against prints from the last 15 minutes. Eight weighted signals score each name, and a signal we could not measure leaves the denominator instead of scoring zero.

  • Screener across up to 10 tickers per run
  • Unusual Activity: a curated liquid list intersected with your watchlist
  • Cross-ticker strategy comparison
  • Open Interest tracker
  • Earnings-window options analysis
  • AI Brief over the tickers you just screened
Options Screener
Options Screener
Multi-Ticker Screener
TickerStrategyScoreIVPremium
AAPLBull Call Spread
94
24.8%$3.20
NVDAIron Condor
88
31.2%$5.40
TSLAPut Credit Spread
82
42.1%$2.85
METAStraddle
79
27.6%$8.10
MSFTCovered Call
76
22.3%$4.50
AMZNBear Put Spread
71
29.8%$3.90
Portfolio Greeks
Delta+0.42
Gamma+0.018
Theta-12.4
Vega+8.65
AAPL
28%
NVDA
35%
TSLA
22%
META
15%
Risk & P/L
Max Profit+$5,620
Breakeven$258 / $272
Max Loss-$2,840
AAPL
+8.2%
NVDA
-2.1%
TSLA
+5.6%
META
+1.4%
Cross-ticker analysis|6 tickers monitored
1/4
Adaptive

Three trading styles.

Every AI signal, threshold, and recommendation adapts to your trading style.

Day Trade

Timeframe
5-minute bars · 5-day window
Signals
Momentum-weighted signals, VWAP and EMA 9/21 confluence, volume confirmation
Options
0–7 DTE (2 DTE ideal), ATM strikes, high-gamma plays
Risk
ATR(14) stops at 1.0–1.5×, intraday-only, minutes-to-hours holds

Swing Trade

Timeframe
4-hour bars · 90-day window
Signals
Technical + fundamental confluence, EMA 21/50 over the 200, trend-following bias
Options
14–45 DTE (30 ideal), slight OTM, spread strategies
Risk
ATR(14) stops at 1.5–2.5×, support-based, 2–10 day holds

Position

Timeframe
Daily bars · 1-year window
Signals
Value-driven, SMA 50/200 crosses, earnings trajectory, macro alignment
Options
90–730 DTE (180 ideal), LEAPS, covered and income strategies
Risk
ATR(14) stops at 2.5–3.5×, sector diversification, weeks-to-months holds
Forex

AI forex trading.

Session-aware analysis across 7 major pairs and 21 minors and crosses. A 4-session market clock tracks Sydney, Tokyo, London, and New York — with pip-based signals that intensify during overlap periods.

The session clock runs on fixed UTC boundaries: it models neither daylight-saving shifts nor market holidays, so read it as a schedule rather than a feed.

  • Six sub-tabs: overview, technicals, signals, chart pattern, deep research, market overview
  • 4-session clock with overlap detection
  • Pip analysis: range, ATR, spread estimation
  • Rule-based signals with pip targets
  • 4-analyst AI research pipeline over 3 stages, with debate synthesis
  • AI chart pattern detection for forex pairs
  • Trading-mode-adaptive pip targets (day/swing/long)
  • Desk data refreshes every 30 seconds; the session clock re-ticks every 60
Forex
Pair & Sessions
Pair Selector
Currency PairsMAJOR
EUR/USD1.0847+0.32%
GBP/USD1.2634+0.18%
USD/JPY149.82-0.45%
AUD/USD0.6521+0.08%
USD/CHF0.8834-0.12%
Session Clock
Session ClockOVERLAP
Sydney
21:00–06:00CLOSED
Tokyo
00:00–09:00CLOSED
London
07:00–16:00OPEN
New York
12:00–21:00OPEN
London + New York overlap — Peak liquidity
Pip Analysis
Pip Analysis
Pip Size0.0001Standard
Today's Range72pips
Avg Daily85pips
ATR (14)68pips
Spread1.2pips
Pip Value$10.00per lot
Price Chart
EUR/USD1.0847
1.08001.0850
Trade Signals
BUY
EUR/USD
+45p/-22p|R:R 2.05
88
SELL
GBP/USD
+38p/-19p|R:R 2.00
82
BUY
USD/JPY
+52p/-26p|R:R 2.00
76
HOLD
AUD/USD
+15p/-20p|R:R 0.75
54
AI Deep Research
AI Research Pipeline
M
MarketBullish
S
SentimentNeutral
N
NewsBullish
Bull
vs
Bear
Debate
S
Synthesis4 analysts converged
BUY78%
Sessions + Pips + AI Signals|4-analyst research pipeline
1/4
Crypto

AI crypto intelligence.

11 specialized tabs for 24/7 crypto markets. From Fear & Greed scoring to whale accumulation detection, Alpha Scanner rankings to narrative radar — every signal backed by explainable AI, on a 30-second refresh.

  • Fear & Greed with contrarian analysis
  • Whale Tracker: accumulation/distribution + volume anomalies
  • Alpha Scanner: ranks 20 assets across 5 scoring dimensions
  • Narrative Radar: AI-classified market narratives & catalysts
  • 4-analyst deep research with risk team debate
  • AI Trade Validator with BTC correlation scoring
  • Desk data refreshes every 30 seconds
Crypto
Overview & Volatility
BTC Price
24/7 · 30s
$97,482
+3.24%
24h
US
Asia
EU
Fear & Greed
Fear & Greed Index
72Greed
Volatility
65
Volume
78
Social
82
Dominance
58
Trend
74
AI Signals
94
RSI Reversal
+6.2%/-2.8%
87
MACD Cross
+4.5%/-1.9%
76
Volume Spike
+3.1%/-3.1%
68
Bollinger Break
+2.4%/-5.3%
91
BTC Divergence
+8.1%/-3.5%
BTC Corr: 0.87
Volatility
Volatility
Daily Range
4.8%
Avg Daily Range
3.2%
ATR %
5.1%
Vol Ratio
1.42%
BTC Correlation
BTC Correlation
0.87
Trade Validator
Technical
30%
Volume
20%
Mkt Cap
15%
BTC Corr
15%
Sentiment
20%
Whale Detector
Whale DetectorOBV Rising
Accum 78%Distrib 22%
Alpha Scanner
Alpha Scanner
AssetMomVolScore
SOL
88
ETH
81
AVAX
76
LINK
69
11 tabs + 4-analyst AI + Whale Detection|24/7 crypto intelligence
1/5
Paper Trading

Multi-account practice engine.

Spin up isolated paper accounts ("Swing Trading", "Day Scalps", "Autonomous Trader Mirror") with independent capital, positions, and P&L — as many as you want, on any tier, each starting at $100,000. Market, Limit, Stop and Stop-Limit orders fill against polled quotes through a global engine.

It is a simulator, and it is worth knowing where it differs from a broker: time-in-force is recorded but never enforced, and fills are evaluated on a five-second cycle rather than at the instant a print crosses your price.

  • Unlimited paper accounts on every tier — isolation with rename/reset/delete
  • $100,000 starting capital per account
  • 4 order types (Market, Limit, Stop, Stop-Limit) and 2 time-in-force options
  • Optional 2×, 3× or 5× margin — off by default
  • A global fill engine re-evaluates orders every 5 seconds, with a 60-second equity snapshot
  • Equity curve, day P&L, win rate, position table
  • Autonomous Trader fills mirror automatically
Paper Trading
Portfolio Overview
Positions
Portfolio Value$108,420
Today+$1,240
Total P&L
+8.42%
AAPLLONG50
+6.27%
NVDALONG10
+4.22%
TSLASHORT20
+4.42%
METALONG15
+2.63%
MSFTLONG25
-1.82%
Trade Log
TimeTickerActionQtyPriceP&L
9:32 AMAAPLBUY50$248.3--
10:15 AMNVDABUY10$840--
11:05 AMTSLASHORT20$260--
1:22 PMMETABUY15$510.2--
2:45 PMAAPLSELL10$258.4+$101
3:10 PMMSFTBUY25$420--
Performance
Equity Curve+8.4%
Illustrative
Win Rate
68%
Profit Factor
2.4x
Sharpe Ratio
1.82
Max Drawdown
-3.2%
Position Sizing
5
AAPL35%
NVDA25%
TSLA15%
META15%
MSFT10%
Risk per Position(% of portfolio)
AAPL
1.2%
NVDA
2.1%
TSLA
3.4%
META
1.8%
MSFT
0.9%
Virtual portfolio|Zero risk, full analytics
1/4
Watches & Notifications

Alerts in plain English.

Set up watches with the UI — or just tell Copilot in plain English ("alert me if AAPL crosses $200" or "ping me when London and NY overlap"). 30 condition types across stocks, options, forex, crypto, and macro, with up to five active at once. Triggers push to an 8-category notification hub with read tracking and one-tap navigation.

  • 30 condition types across stocks, options, forex, crypto, and macro
  • Up to 5 watches active at a time per account
  • Manual UI or natural-language Copilot creation
  • A 30-second master tick, with 60s / 5min / 15min / 60min cadences per condition
  • Watch state syncs across your devices via Supabase push
  • 8 notification categories with unread tracking
  • The feed keeps the 100 most recent notifications, on the device
Active Watches
AAPL
Price crosses above $200
Active
NVDA
RSI(14) drops below 30
Active
EURUSD
London / NY session overlap opens
Active
BTC
Whale anomaly · severity ≥ medium
Triggered
TSLA
Unusual options activity
Paused
Trade Validator

AI validates every trade.

Before you enter a position, the Trade Validator runs a 16-stage pipeline in five waves and scores the trade across 12 weighted dimensions — technical, fundamental, sentiment, momentum, risk and more — against 14 gating rules.

A single head-of-desk synthesis call turns that into one of five verdicts, from STRONG_BUY to STRONG_SELL. High-confluence setups get the green light. Low-conviction trades get flagged with specific concerns — so you never enter a position blind.

Trade Validator
MSFT
82
BUY
Confluence Score
Low RiskHigh
Technical83%
Fundamental91%
Sentiment67%
Momentum76%
Risk58%
AI Reasoning
RSI at 42 — not overbought, room to run on daily timeframe
DCF fair value $485 vs current $412 — 18% margin of safety
Analyst consensus: Strong Buy (28/34 analysts) — recent upgrades
5-dimension confluence|AI-validated trade scoring
1/4
Chart Signals

The confirmation step, with no model in it.

Chart Signals is the one desk here that no model touches. Three studies — Follow-Through Levels, Money-Flow Trail and Indicator Consensus — are written line by line from their reference source and run on our own bars. Nothing is inferred, summarised or generated: you get the same reading twice.

Each study shows its own provenance on screen — script revision, a 12-hex hash of the committed source, the bar count it ran on, the interval actually delivered, and all 26 declared deviations from the original. Run it after the Validator has scored your idea, to see whether the chart is confirming it.

  • Three studies: Follow-Through Levels, Money-Flow Trail, Indicator Consensus
  • Zero LLM calls — same inputs, same numbers, every time
  • Deterministic calculations, validated against a committed source hash
  • 6 bar intervals (5m, 15m, 30m, 1h, 4h, Daily) × 7 lookbacks (Same Day → 1 Year)
  • Works on stocks, crypto, and forex
  • Inputs split into compute / window / presentation, so changing the view cannot change a reading
  • 1,637 contract checks behind the pipeline
Three studies
0 LLM calls
Follow-Through Levels
Deterministic
Up to 10 historical-frequency price levels above the prior high and below the prior low, each with its own probability reading, fill bands, and a WIN / LOSS / Profitability panel.
Money-Flow Trail
Deterministic
A per-bar trailing stop-and-reverse line, its two-bar-lag twin, a colour-flipping band between them, and confirmed BUY / SELL tags.
Indicator Consensus
Deterministic
A weighted scoreboard, not a network: 29 switchable contributions over 16 computed indicators (10 paying at defaults), a five-EMA ribbon, a Hull average, and an on-screen panel naming every contribution that is paying.

Trade with confidence.
AI-validated. Fully transparent.

AI-validated signals across stocks, options, forex, and crypto — with full transparency on every recommendation.