Live and delayed market snapshots across five asset classes — with guidance on which Paradox Algo tools fit each market and style.
Our home turf — index, energy and metals futures, the contracts our strategies and tick tools are built around.
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US equities — movers, momentum and structure on the most liquid names.
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24/7 markets with live pricing — where regime and volatility context matter most.
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Major pairs, session structure, and the calendar that moves them.
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Gold and crude — spot context for the metals and energy contracts we cover.
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Tick value, position sizing, trailing drawdown, evaluation cost — the calculators behind the numbers.
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The six Paradox indicators are built to calibrate across asset classes and styles — SignalWave alone ships 25 asset-class × trading-style presets. Each market page maps which tools fit that market, on which timeframes, for which styles — with the full usage guides one click away. The three automated strategies are futures-specific; the indicator suite is not.
Market data shown on this page is provided by TradingView widgets; some feeds are delayed and index figures shown via CFD or spot proxies are not exchange contract prices. Nothing here is financial advice or a recommendation to trade — it is market context for your own research. Trading involves substantial risk of loss.