Real-time decision-support scanner for Indian markets — Stocks, NIFTY 50, NIFTY Options & MCX Commodities. Instrument → BUY/SELL → Entry → Trigger → Target → Stop Loss → Exit → Live Status.
Decision-support scanner for Indian markets — Stocks · NIFTY 50 · NIFTY Options · MCX Commodities. Outputs only actionable setups: instrument → BUY/SELL → entry → trigger → target → stop loss → exit. Can honestly return WAIT / NO TRADE.
Paper mode auto-tracks entry, exit, SL, target, P&L, win/loss & accuracy.
NIFTY 50
₹25,118.00
+0.00%
Live Signals
0
0 active
No Trade
23
instruments
Win Rate
0.0%
0 signals
⚪
NO TRADE
No valid setup currently. WAIT for the next valid entry.
Financial Disclaimer: AI-generated financial guidance is for informational and educational purposes only. This does not constitute professional financial advice, investment recommendation, or tax consultation. Consult a SEBI-registered advisor, certified financial planner, or qualified accountant before making financial decisions.
Finlytic Pro's AI Intraday Trading Signal Agent is a decision-support dashboard for Indian markets. It continuously scans NIFTY 50, NIFTY 50 options, highly liquid F&O stocks and MCX commodities, then surfaces only actionable setups: instrument, BUY/SELL direction, entry range, entry trigger, three targets, stop loss and exit conditions — with a live WAIT / ACTIVE / EXIT status for every signal.
The scanner runs four segments in parallel: NIFTY 50 stocks and F&O liquid names, the NIFTY 50 index, NIFTY options in both Option Buyer and Option Seller modes (CE / PE with auto-selected strikes), and liquid MCX commodities including Gold, Silver, Crude Oil and Natural Gas.
Every signal follows a lifecycle: WAIT → ENTRY TRIGGERED → ACTIVE → TARGET / STOP LOSS → EXIT. A setup is generated only when trend, momentum and RSI conditions align above a quality threshold. If no setup meets the bar, the agent honestly returns WAIT / NO TRADE instead of forcing a trade.
Signal history is tracked per completed trade — entry, exit, target, stop loss, exit reason and P&L — with a performance dashboard that shows total signals, win rate, total P&L and segment-wise breakdown (Stocks, NIFTY, Options Buyer, Options Seller, Commodities).
Read the Top Opportunities
Check Entry & Trigger
Manage with Target & Stop Loss
Review History & Performance
Read the Top Opportunities
The dashboard ranks the best 5 setups by setup score across all segments.
Check Entry & Trigger
Buy only when the price crosses the entry trigger (above upper range for BUY, below lower range for SELL).
Manage with Target & Stop Loss
Book targets in stages and always keep the stop loss. Exit conditions are Target / SL / AI EXIT.
Review History & Performance
Use the History and Performance tabs to evaluate signal accuracy and per-segment results.
This demo uses a realistic intraday market simulation for educational demonstration. It is not connected to a live exchange feed or a broker.
No. It is a decision-support educational tool. Trading in equity, options and commodities involves risk. Consult a SEBI-registered advisor before trading.
Yes. When no setup meets the quality threshold the agent returns WAIT / NO TRADE instead of forcing signals.
The score measures setup quality (trend, momentum, RSI alignment), not a guaranteed probability of profit.