Everything here, in one briefing.
A map of every module, a quick-start route through them, and the mindset that decides whether the data actually helps you โ or just gives you more ways to be wrong faster.
Five steps before your first real trade
Build your Watchlist
Add the stocks you actually track โ categorise them, rate them, leave yourself notes. This becomes the universe everything else in the app narrows down to.
Go to Watchlist โRun the DNA Analyser
Before you decide anything on a stock, get the full read โ technicals, fundamentals, patterns, risk metrics, master signal. Let the report argue with your gut, not just confirm it.
Go to DNA Analyser โTurn on WatchDog & Alerts
Set price, momentum, and pattern alerts once โ let the app watch the market for you all day, instead of you watching the market.
Go to WatchDog AI โOpen Live Market during hours
Real-time cards, buy/sell pressure, intraday burst alerts, and news โ filtered to your own stocks, not the whole market's noise.
Go to Live Market โReview Trade Log & Portfolio
Track what actually happened, not just what you planned. The gap between the two is where most of the real learning lives.
Go to Trade Log โEvery module, what it's actually for
Real-time cards, sparklines, buy/sell pressure, burst alerts, and focused news for your watchlist.
Global cues, FII/DII flows, rupee/oil, and Nifty/Bank Nifty levels synthesized into one next-day bias.
Alert rules, momentum auto-alerts, and an AI read on market sentiment.
Indices, gainers/losers, and your portfolio at a glance the moment you log in.
Overnight US/Asian cues and how they're likely to move Indian markets today.
Browse and filter 7,500+ NSE/BSE stocks by any fundamental or price metric.
Which sectors are actually leading or lagging right now, not just which stocks.
The whole market's mood in one glance โ size and colour coded by move.
India VIX โ the market's own fear/complacency reading.
Advance/decline ratio โ is the rally broad, or just a handful of stocks?
Put two or more stocks side by side on the metrics that actually matter.
Find out which of your holdings secretly move together โ real diversification check.
Where the big institutional money is flowing, in or out.
Upcoming results calendar plus how each sector's earnings trend is shaping up.
Dividend calendar and yield tracking across your watchlist.
The deep-dive report โ indicators, patterns, risk metrics, multi-timeframe score, one verdict.
Opening range breakouts, gap analysis, VWAP โ built for the trading day, not the trend.
Test a strategy against history before you test it with real capital.
Live options data for the contracts you're actually watching.
Practice the process with fake capital before you risk real capital.
Screen the whole universe for a specific setup instead of checking stocks one by one.
Named, repeatable patterns (breakouts and more) surfaced automatically.
How many shares to buy for the risk you've actually decided to take โ not a guess.
A multi-dimension risk score for a stock or your whole portfolio.
Holdings, live P&L, and price targets โ the actual state of your money.
Every buy and sell, win-rate stats โ the record you'll actually learn from.
Your curated list, with categories, ratings, and notes.
Set target allocations and see exactly what to buy/sell to get there.
FIFO-based capital gains, so tax season isn't a scramble.
Aggregated news with sentiment scoring โ signal, not just headlines.
Multi-source daily intelligence โ news, momentum, and AI trade plans in one report.
Ask a direct question about a stock or the market and get a direct answer.
Everything that's fired, in one history โ today and earlier.
Theme, exchange default, AI key, and broker configuration for Live Market.
The data only helps you if the mindset is right first
Becoming a Successful Trader
- Trade a plan, not a feeling. Decide entry, target, and stop before you place the order โ not after.
- Risk management beats prediction. You don't need to be right often. You need your losses small and your winners left alone to run.
- Size the position before you pick a direction. How much you risk matters more than whether any single trade is right.
- Backtest before you believe. A strategy is a hypothesis until it's been tested against history โ that's what the Backtester is for.
- Track everything. A trade you don't log in the Trade Log is a lesson you don't get to learn from.
- Go deep before you go wide. Know a handful of stocks or sectors properly before spreading across dozens.
Trading Psychology
- Fear and greed move faster than fundamentals. Most bad trades are emotional decisions wearing an analytical excuse.
- FOMO is not a strategy. A stock that already moved 8% today doesn't need you today.
- Losses are tuition, not failure. The goal isn't to never lose โ it's to lose small and often, and let the winners pay for it.
- Revenge trading turns one loss into three. Step away after a loss. Don't chase it back in the next ten minutes.
- Boredom is a bigger risk than fear. The urge to "do something" when the market's giving you nothing is how good accounts go bad.
Discipline & Risk Management
- Risk a small, fixed % of capital per trade โ commonly 1โ2%. The Position Sizer works this out for you.
- Place the stop-loss when you enter. Not after. Not "when it gets there."
- One setup, one process, every time. Use the same checklist โ WatchDog signals, DNA Analyser verdict โ regardless of mood.
- Review weekly, not just after big wins or losses. Patterns show up across many trades, not one.
- Journal the "why," not just the "what." Your reasoning at the time is worth more than the P&L number alone.
| Symbol โ | Company | Exch | Sector | Cap | Price โ | Chg | Chg% | Volume โ | MCap โ | P/E โ | 52W H | 52W L | Updated | Action |
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| Symbol | Company | Qty | Buy Price | CMP | Invested | Current | P&L | P&L% | Action |
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| Symbol | Company | Exch | Price | Chg% | Sector | Price Range | Cap | Flag | Action | |
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| Date | Symbol | B/S | Qty | Price | Brokerage | Type | Notes | Action |
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This caps your loss on this single trade to exactly your chosen Risk% of total capital โ regardless of how many shares you buy.
| Risk Level | Risk % | Max Loss (โน) | Typical Use Case |
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