(News, fundamentals, retail vs. smart money positioning)
This dashboard keeps you updated on market sentiment, major news events, and institutional vs. retail positioning. Use this data to align your trades with high-probability setups and avoid unnecessary risks.
🔹 Top High-Impact Events Today (Red Folder News 🟥 – NFP, CPI, FOMC, etc.)
🔹 Upcoming Major News for the Week (Monitor central bank meetings, rate decisions, GDP reports, etc.)
🔹 News Sentiment Bias (Hawkish 🦅 vs. Dovish 🕊)
⚠️ Retail Traders Are Usually Wrong – This section helps you track how retail traders are positioned vs. institutional order flow.
Pair 🎯 | Retail Longs 📈 | Retail Shorts 📉 | Bias 🔥 | Smart Money Positioning 🏦 |
---|---|---|---|---|
EUR/USD | 78% ✅ | 22% ❌ | Bearish 🚨 | Likely selling into liquidity |
GBP/USD | 40% ✅ | 60% ❌ | Neutral ⚖️ | Watching for confirmation |
USD/JPY | 20% ✅ | 80% ❌ | Bullish 🚀 | Smart money accumulating longs |
💡 COT (Commitment of Traders) Report shows how hedge funds and banks are positioned.
Pair 🎯 | Hedge Fund Longs 🏦 | Hedge Fund Shorts 🚨 | Net Position 📊 | Bias 🔥 |
---|---|---|---|---|
EUR/USD | 300K | 150K | +150K Long | Bullish 🚀 |
GBP/USD | 220K | 200K | +20K Long | Neutral ⚖️ |
USD/JPY | 120K | 250K | -130K Short | Bearish 📉 |