Every Analytical Stage, One Terminal.
RTX5's integrated analytical pipeline spans fundamental research, technical charting, sentiment monitoring, precision execution, and post-trade performance review — all within a single unified workspace. Stop fragmenting your workflow across disconnected platforms; RTX5 carries every insight from first market scan to final trade journal entry without losing a single data point.
A Complete Connected Trading Intelligence Cycle
End to End Analysis in RTX5 is the seamless flow of analytical data from the earliest stage of market identification through research, charting, strategy formation, live execution, position monitoring, and post-trade review — where every stage feeds the next with context, data, and insight. Unlike a collection of isolated tools bolted together, RTX5 preserves analytical continuity so traders never rebuild context or re-enter data when transitioning between stages. The result is a single connected intelligence thread from first market insight to final performance review.
Identify — Market Screening & Opportunity Discovery
RTX5 scans thousands of instruments across every connected asset class, surfacing only the setups that meet your multi-criteria filters — and automatically pre-loads their full data profile for the analysis stage that follows.
Analyse — Technical & Fundamental Research
Every screened instrument enters RTX5's charting and research environment with fundamental event markers, macro context, and multi-timeframe charts already populated — so the trader builds a complete thesis without rebuilding context from scratch.
Execute — Precision Order Entry & Management
The validated trade thesis flows directly into RTX5's order entry panel with position size, stop loss, and take profit pre-calculated — converting analysis into a precisely filled market position through the Ultency ECN routing engine.
Review — Post-Trade Performance & Iteration
Every closed position generates a comprehensive post-trade report with fill quality, risk-reward outcome, and chart replay — feeding insights back into the screening stage to continuously refine the trader's analytical criteria.
Scan the Entire Market Universe for High-Potential Setups
Every RTX5 End to End Analysis session begins with the platform's multi-criteria screening engine — simultaneously filtering thousands of instruments across all connected asset classes using technical pattern recognition, fundamental data triggers, volume anomaly detection, and news sentiment signals. The result is a focused shortlist of instruments worthy of deeper analytical attention at any given moment.
Multi-Asset Technical Pattern Scanner
Scans all connected instruments simultaneously for chart pattern formations — head & shoulders, double tops, flags, wedges — and ranks them by pattern completion probability and historical success rate.
Fundamental Data Trigger Screener
Filters the instrument universe based on upcoming earnings surprises, dividend announcements, economic data releases, and valuation metric thresholds that signal potential price catalysts.
Volume Anomaly & Unusual Activity Detector
Identifies instruments experiencing statistically significant volume spikes, unusual options activity, or abnormal bid-ask spread behaviour that may precede major price movements.
News Sentiment Score Filter
Surfaces instruments where aggregate news sentiment has shifted sharply bullish or bearish within a configurable timeframe, highlighting potential sentiment-driven trading opportunities.
Watchlist-Based Opportunity Monitor
Continuously monitors your curated watchlists for technical breakouts, fundamental triggers, and sentiment shifts — delivering real-time alerts when any monitored instrument meets your predefined criteria.
Cross-Asset Correlation Discovery Tool
Identifies emerging correlation patterns between instruments across different asset classes, revealing hedging opportunities and correlated momentum trades invisible to single-market screeners.
→ Workflow Connection: Instruments identified in Stage 1 are automatically passed into Stage 2 of the RTX5 analysis pipeline with all relevant screening data, volume profiles, and sentiment context pre-loaded. The trader moves into deep research with full context — zero manual data transfer required.
Build the Complete Fundamental Picture Before Charting
Once an instrument has been identified in Stage 1, RTX5 automatically surfaces all relevant fundamental context — including real-time news stories, economic calendar events, earnings data, central bank policy signals, sector performance, and analyst consensus data — within the instrument's dedicated research panel. The trader receives a complete fundamental picture before committing to technical analysis, ensuring every chart-based decision is grounded in macro context.
Real-Time News Feed
RTX5 aggregates headlines from global wire services and financial media in real time, filtered specifically to the instrument under research — delivering the latest stories the moment they publish.
Economic Calendar Events
All upcoming and recent macroeconomic data releases — GDP, CPI, employment, PMI — relevant to the instrument's currency, region, or sector are surfaced with impact ratings and consensus forecasts.
Earnings & Corporate Data
For equity instruments, RTX5 automatically loads earnings dates, revenue figures, EPS history, guidance revisions, and insider transaction data directly into the research panel.
Central Bank Policy Tracker
Monitors rate decisions, meeting minutes, forward guidance language, and quantitative policy signals from all major central banks — contextualising monetary policy impact on the instrument.
Sector & Industry Comparison
Positions the instrument within its sector and industry peers using relative performance metrics, market share data, and competitive positioning analysis for contextual fundamental assessment.
Analyst Consensus & Price Target Data
Aggregates buy/sell/hold ratings, consensus price targets, and recommendation trend changes from major research houses to provide an institutional-grade fundamental sentiment baseline.
→ Workflow Connection: The fundamental context assembled in Stage 2 is carried forward as annotated event markers and data overlays directly onto the Stage 3 technical analysis charts. Earnings dates, economic releases, and central bank events appear as interactive markers on the price chart, giving the trader macro context at every technical decision point.
Apply Full-Depth Charting to the Researched Instrument
Stage 3 is where the RTX5 charting engine comes into full effect — with the trader opening multi-timeframe charts pre-loaded with the fundamental event markers from Stage 2, applying technical indicators, drawing structure, identifying pattern formations, and building a complete trade thesis. The thesis combines macro context with technical precision before any order is considered, ensuring every trade entry is analytically justified from both the fundamental and technical perspective.
Multi-Timeframe Chart Environment
View up to 8 synchronised chart timeframes simultaneously — from tick to monthly — with linked crosshairs and unified annotation layers across every view.
50+ Built-In Technical Indicators
A comprehensive library of momentum, trend, volatility, and volume indicators — each fully customisable with parameter adjustment and colour-coded overlay management.
Chart Pattern Recognition Engine
Automated detection and labelling of classical chart patterns including head & shoulders, double tops/bottoms, triangles, and continuation formations with completion probability scoring.
Fibonacci & Geometric Drawing Tools
Full suite of Fibonacci retracements, extensions, fans, and arcs alongside geometric shapes, trend channels, and Andrews' pitchfork for precise price structure mapping.
Fundamental Event Overlay on Charts
Economic calendar markers, earnings dates, and central bank events from Stage 2 appear as interactive overlays directly on the price chart for contextual technical and fundamental confluence analysis.
Elliott Wave Annotation Tools
Dedicated wave labelling, degree management, and rule-validation tools for traders applying Elliott Wave theory to identify impulse and corrective wave structures.
Volume Profile & Market Structure Analysis
Point of control, value area, and volume-at-price distribution tools that reveal institutional price levels and market microstructure imbalances on any timeframe.
Custom Indicator Scripting via MQL
Build and deploy proprietary indicators using MQL scripting with full access to price, volume, and indicator data arrays — extending RTX5's analytical capabilities without limitations.
→ Workflow Connection: The trade thesis formed in Stage 3 — including entry level, stop loss, and target — is pre-populated into the Stage 4 strategy validation environment with a single action. Test your setup against years of historical data before committing capital.
Stress-Test Every Thesis Against Historical Data
Before moving to live execution, RTX5 allows traders to validate the analytical conclusions of Stage 3 through the built-in strategy backtesting environment — running the identified technical setup or systematic rule set against years of tick-accurate historical data. The result is statistically meaningful performance metrics including win rate, expectancy, maximum drawdown, and risk-reward distribution that either confirm or challenge the trade thesis before real capital is at risk.
Multi-Year Tick-Accurate Historical Simulation
Run your identified technical setup or systematic rule set against years of tick-by-tick historical data to generate statistically meaningful performance metrics across thousands of simulated trades.
Visual Trade-by-Trade Chart Replay
Step through every simulated trade on the chart with entry, stop, and target markers to visually verify that the strategy behaves as expected across different market conditions.
Strategy Parameter Optimisation Scanner
Systematically test ranges of indicator parameters, timeframes, and filter combinations to identify the most robust configuration — with overfitting detection alerts built in.
Monte Carlo Simulation for Robustness Testing
Randomise trade order and outcome sequences thousands of times to stress-test the strategy's statistical edge and determine the probability of drawdown scenarios under varying market conditions.
Walk-Forward Analysis Module
Split historical data into in-sample and out-of-sample segments, optimising on each in-sample window and validating on the subsequent out-of-sample period to confirm forward-looking viability.
Strategy Performance Report Generation
Generates a comprehensive performance report including win rate, expectancy, maximum drawdown, profit factor, Sharpe ratio, and risk-reward distribution — exportable as PDF or integrated data.
→ Workflow Connection:A validated strategy's entry rules and risk parameters are transferred directly from the backtesting environment into the Stage 5 pre-trade planning panel. The trader carries statistical confidence alongside the analytical thesis into the final planning stage before execution.
Calculate Every Risk Parameter Before Execution
Stage 5 is the critical bridge between analysis and execution — where RTX5's pre-trade planning tools calculate precise position size based on account equity and risk percentage, model the expected risk-reward ratio, simulate margin requirements, and confirm portfolio alignment. Every parameter is validated against the trader's pre-defined risk management rules before the order entry panel is activated, ensuring disciplined capital deployment on every trade.
Position Size Calculator (Risk-Based)
Calculates the precise lot size or share quantity based on account equity, risk percentage per trade, and the distance between entry price and stop loss — ensuring consistent risk exposure across all trades.
Risk-Reward Ratio Modeller
Visually maps the planned entry, stop loss, and take profit on the chart while displaying the resulting risk-reward ratio, expected value, and required win rate for profitability.
Margin Requirement Simulator
Simulates the margin impact of the planned trade on the account before execution — showing free margin remaining, margin level percentage, and proximity to margin call thresholds.
Portfolio Exposure Impact Assessment
Evaluates how the new position will affect overall portfolio allocation, sector concentration, and currency exposure — flagging any breaches of predefined diversification limits.
Correlation-Adjusted Risk Calculator
Adjusts the position's effective risk by accounting for the correlation between the new trade and existing open positions — preventing inadvertent doubling of directional exposure.
Pre-Trade Checklist Confirmation Panel
Presents a configurable checklist that the trader must complete before the order entry panel activates — confirming that the analysis, validation, and risk parameters meet the pre-defined trading plan rules.
→ Workflow Connection: The position size, stop loss, and take profit values calculated in Stage 5 are pre-filled into the Stage 6 order entry interface automatically. This eliminates manual re-entry errors at the moment of execution — the trader simply confirms and submits.
Convert Validated Analysis into Precise Market Execution
Stage 6 is where RTX5's execution infrastructure takes over — with the Ultency Matching Engine processing the order through the ECN liquidity network at sub-microsecond speed, filling at the best available price across all connected liquidity providers. A timestamped execution confirmation with fill price, slippage report, and execution quality score is returned within the same terminal workspace where the entire analysis was conducted.
Pre-Filled Order Panel from Stage 5 Parameters
The order ticket opens with position size, stop loss, take profit, and order type already populated from the pre-trade planning stage — ready for one-click confirmation.
One-Click & Keyboard Shortcut Execution
Execute instantly using pre-configured one-click buttons or keyboard shortcuts — reducing execution time to sub-second and eliminating hesitation-induced slippage.
Ultency ECN Order Routing
Orders are processed through the Ultency Matching Engine and routed across the ECN liquidity network at sub-microsecond speed, filling at the best available price from all connected providers.
Real-Time Execution Quality Score
Every fill receives an instant execution quality score measuring slippage, fill speed, and price improvement relative to the quoted price at the moment of submission.
Instant Fill Confirmation with Slippage Report
A timestamped fill confirmation displays the actual fill price, planned vs actual slippage in pips and percentage, and the liquidity provider that served the execution.
Automatic Chart Position Marker on Fill
The moment the order fills, a position marker with entry price, stop loss, and take profit is automatically rendered on every chart displaying that instrument.
→ Workflow Connection:The executed position is automatically transferred to the Stage 7 live monitoring environment with all analytical context — charts, indicators, news — remaining active. The trader's analytical workspace transitions seamlessly from pre-trade to post-fill without any reconfiguration.
Complete Real-Time Awareness of Every Open Position
Once a position is live, RTX5's monitoring environment provides a continuous multi-dimensional view of the position's status — with live P&L, real-time chart tracking, active alert monitoring, news feed filtered to the position's instrument, economic event countdown, and margin dashboard all visible simultaneously. Everything remains within the same analytical workspace without navigating away from the open charts, ensuring the trader never loses awareness of any factor affecting the trade.
Live P&L & Floating Equity Display
Real-time profit and loss tracking with floating equity, unrealised gain/loss, and swap accumulation displayed across every open position simultaneously.
Real-Time Position Chart Overlay
Entry, stop loss, and take profit levels are rendered as interactive markers directly on the chart — updating dynamically as the position's profit target or stop is modified.
Active Alert Status Dashboard
A centralised view of all active price alerts, indicator triggers, and pattern alerts related to the open position — with status indicators showing proximity to trigger conditions.
Instrument-Filtered Live News Feed
The news feed automatically filters to show only stories relevant to the instrument you currently hold a position in — delivering breaking developments without manual search.
Economic Event Risk Countdown Timer
A live countdown timer for upcoming economic events that could impact the open position — including impact rating, consensus forecast, and previous reading for rapid risk assessment.
Margin & Exposure Level Monitor
Continuously displays margin utilisation percentage, free margin remaining, and margin level status relative to the broker's stop-out threshold for proactive risk awareness.
Automated Stop Adjustment Trigger
Configure rule-based automatic stop loss adjustments that activate when the position reaches predefined profit thresholds — protecting gains without constant manual monitoring.
→ Workflow Connection:The live monitoring data from Stage 7 feeds directly into Stage 8's position management decision environment. Modification tools — stop adjustments, scaling, partial closes — are accessible without interrupting the monitoring view.
Manage Positions with Full Analytical Precision
Stage 8 represents the active management phase of the analytical workflow — where RTX5 provides traders with tools to modify stop loss and take profit levels dynamically, scale in or out of positions based on evolving technical and fundamental signals, and activate trailing stops as profits accumulate. Breaking news or economic data events can trigger immediate partial or full position adjustments — all without leaving the live monitoring workspace that has been active since the position was opened.
Dynamic Stop Loss & Take Profit Modification
Drag stop loss and take profit levels directly on the chart or modify numerically in the order panel — with the position's risk-reward ratio recalculating in real time as levels are adjusted.
Trailing Stop Activation & Adjustment
Activate trailing stops at configurable distances once the position reaches a profit threshold — with options for pip-based, percentage-based, or ATR-based trailing algorithms.
Partial Position Scale-In & Scale-Out
Add to winning positions or reduce exposure incrementally with partial lot execution — managing the position's average entry price and risk profile dynamically as the trade develops.
One-Click Position Close or Reverse
Instantly close the entire position or reverse the directional bias with one click — executing a flat-and-reverse order at the best available market price without a separate order ticket.
News-Triggered Order Modification
Configure conditional order modifications that activate automatically when a news story matching specific keywords or sentiment thresholds is published for the position's instrument.
Position Hedging with Correlated Instrument
Open a hedging position on a correlated instrument directly from the position management panel — with the correlation coefficient and net exposure impact displayed before confirmation.
→ Workflow Connection:Every position modification made in Stage 8 is logged with a timestamp and rationale field — feeding directly into the Stage 9 post-trade review journal. The complete management history becomes part of the trade's analytical record.
Convert Every Closed Trade into Actionable Intelligence
Stage 9 is where the RTX5 end-to-end analytical cycle closes the loop — automatically generating a comprehensive post-trade report for every closed position that includes fill quality analysis, risk-reward outcome versus plan, chart replay of the trade lifecycle, and comparison of the pre-trade thesis against actual price behaviour. This structured review record informs and improves every subsequent analytical cycle, transforming individual trade outcomes into systematic trading edge.
Automated Post-Trade Report Generation
Every closed position automatically generates a structured report with fill quality, slippage, holding duration, swap costs, and net P&L — eliminating manual trade journaling.
Trade Chart Replay with Decision Markers
Replay the entire trade lifecycle on the chart from entry to exit, with timestamped markers showing every modification, alert trigger, and news event that occurred during the trade.
Planned vs Actual Risk-Reward Analysis
Compares the pre-trade thesis — planned entry, stop, and target — against the actual execution and exit to reveal whether the trade was managed as planned or deviated from the original thesis.
Fill Quality & Execution Score Review
Reviews the execution quality of every entry and exit fill including slippage direction, fill speed, price improvement, and liquidity provider performance for forensic-level execution analysis.
Trading Journal Entry with Custom Notes
Attach free-form notes, screenshots, and analytical observations to the trade record — building a rich qualitative journal alongside the quantitative metrics for future review.
Pattern & Setup Outcome Classification
Tag each closed trade with the specific setup type, pattern formation, and market condition that defined the entry — enabling future performance analysis by setup category.
Cumulative Performance Attribution by Strategy Tag
Track cumulative P&L, win rate, and expectancy by strategy tag over time — revealing which setups consistently generate positive expectancy and which require refinement.
→ Workflow Connection:The insights from Stage 9 are fed back into Stage 1's screening criteria — completing the analytical cycle. Setup classifications, instrument performance patterns, and win-rate data continuously refine the trader's instrument selection and trade qualification parameters.
Elevate Trade Review into Portfolio-Level Intelligence
Stage 10 aggregates all post-trade data from Stage 9 across every instrument, strategy, and time period — generating portfolio-level analytics that reveal performance patterns invisible at the individual trade level. Drawdown curves, win-rate distribution by asset class and session, risk-adjusted return metrics, correlation exposure across simultaneous positions, and strategy decay detection over time give the trader a complete intelligence layer for continuous optimisation.
Equity Curve & Drawdown Chart
A dynamic equity curve with overlay drawdown visualisation showing peak-to-trough periods, recovery times, and maximum drawdown depth across all trading activity.
Win Rate by Asset Class & Session
Breaks down win rate and expectancy by asset class, trading session, and day of week — revealing where the trader's edge is strongest and where performance degrades.
Risk-Adjusted Return Metrics (Sharpe, Sortino, Calmar)
Calculates industry-standard risk-adjusted performance ratios that contextualise returns relative to volatility, downside risk, and maximum drawdown — enabling institutional-grade performance comparison.
Position Correlation Exposure Map
Visualises the correlation matrix across all simultaneously held positions — exposing hidden directional risk concentrations invisible to individual position analysis.
Strategy Tag Performance Comparison
Compares cumulative performance across all strategy tags — enabling the trader to allocate more capital to consistently profitable setups and retire underperforming strategies.
Monthly & Quarterly P&L Attribution
Calendar-view P&L attribution by month and quarter with heat-map colouring — quickly identifying seasonal performance patterns and period-over-period improvement trends.
Maximum Adverse Excursion Analysis
Measures how far each trade moved against the entry before ultimately reaching its target or stop — revealing whether stops are optimally placed or unnecessarily tight.
Strategy Decay & Performance Drift Detection
Monitors rolling performance metrics for signs of strategy decay — alerting the trader when win rate, expectancy, or risk-reward ratios trend below historical thresholds.
Every Stage Knows What Came Before It
What distinguishes RTX5's end-to-end analysis from a collection of standalone tools is the data continuity between stages — where the instrument identified in screening carries its fundamental context into the charting environment, the validated strategy parameters flow into the order entry panel, and the post-trade review is pre-populated with every decision made during the analytical cycle. The result is a single connected intelligence thread from first insight to final review.
Cross-Stage Data Continuity Engine
RTX5's unified data model ensures that every piece of analytical data generated at any stage is accessible at every subsequent stage without re-entry or reconstruction. The instrument's screening score, fundamental research notes, technical annotations, and backtesting results all travel as a single connected data thread through the entire analytical pipeline.
Analytical Context Preservation on Execution
When a trade is executed in Stage 6, the entire analytical context — all charts, indicators, news filters, and research panels — remains active and unchanged in the workspace. The trader's environment transitions from pre-trade analysis to live position monitoring without any configuration reset or context loss.
Automated Stage Transition Triggers
RTX5 detects when the trader has completed the key analytical actions of one stage and offers automated transitions to the next — pre-loading the appropriate tools, panels, and data views for the subsequent stage. Manual overrides remain available at every transition point for full workflow flexibility.
End-to-End Session Memory & Recall
Every analytical session is stored as a retrievable workflow record. Weeks later, a trader can recall the exact analytical path that led to a specific trade — from the screening criteria that identified the instrument to the post-trade review that assessed the outcome — for retrospective analysis or educational review.
Technical Note:RTX5's unified data model enables stage-to-stage information transfer without data re-entry — every analytical context, annotation, and configuration travels as structured data through the pipeline. This contrasts with fragmented multi-platform workflows where analytical context is lost at every tool boundary, forcing traders to rebuild their decision-making framework repeatedly throughout the trading day.
Complete Analytical Pipeline for Systematic Strategy Lifecycle
RTX5's end-to-end analytical framework extends fully into systematic trading — where the screening stage becomes a rule-based universe filter, the analysis stage becomes a backtesting environment, the execution stage becomes an automated EA runtime, and the review stage becomes a strategy performance attribution system. This creates a complete algorithmic strategy lifecycle management environment within a single terminal, eliminating the fragmentation that forces quantitative traders between multiple disconnected tools.
Rule-Based Universe Screening Filter
Define systematic screening rules using technical indicators, fundamental data thresholds, and volume criteria — automatically generating a filtered instrument universe that updates on every tick.
Multi-Year Strategy Backtesting Environment
Run systematic strategies against tick-accurate historical data spanning multiple years, generating performance statistics required for institutional-grade strategy validation.
Automated EA Execution Runtime
Deploy validated Expert Advisors into a monitored runtime environment with real-time execution logging, error handling, and performance dashboarding — all within the RTX5 terminal.
Strategy Performance Live Dashboard
Monitor running strategies in real time with live P&L, fill count, win rate, and drawdown metrics displayed on a dedicated dashboard alongside the strategy's chart activity.
Strategy Decay & Degradation Monitor
Continuously analyses rolling performance metrics to detect when a strategy's edge is degrading — triggering alerts when key metrics breach configurable thresholds.
End-to-End Infrastructure Scaled for Institutional Complexity
RTX5's end-to-end analytical pipeline is designed to scale from individual trader workflows to institutional-grade multi-portfolio analytical environments — with multi-account monitoring, compliance-grade audit trails at every stage, and risk-adjusted portfolio reporting. The ability to distribute end-to-end analytical workflows across multiple team members within a single organisational deployment makes RTX5 a genuine institutional-class analytical infrastructure.
Multi-Portfolio Consolidated Dashboard
Monitor multiple portfolios, sub-accounts, and strategy allocations from a single consolidated dashboard — with portfolio-level P&L, exposure, and risk metrics aggregated in real time.
Compliance Audit Trail Across All Stages
Every analytical decision, order modification, and position adjustment is logged with timestamps and user identification — meeting regulatory audit trail requirements across all 10 analytical stages.
Team-Based Analytical Workflow Distribution
Distribute end-to-end analytical workflows across multiple team members — with screening, research, execution, and review responsibilities assignable by role within a single RTX5 deployment.
Risk-Adjusted Portfolio Attribution Reporting
Generate institutional-grade performance attribution reports that break down returns by strategy, instrument, time period, and risk factor — exportable for client reporting and compliance review.
Institutional API Access for Data Export
Full API access for exporting analytical data, trade history, performance metrics, and risk reports into external systems including portfolio management platforms and regulatory reporting tools.
Analytical Continuity Across Every Device
RTX5's mobile app preserves the end-to-end analytical workflow across all 10 stages on iOS and Android — with watchlists, analytical context, active alerts, open positions, and post-trade journals synchronised in real time between desktop and mobile. Traders can transition between screening on desktop, monitoring on mobile, and reviewing on tablet without any loss of analytical continuity or context.
Full Stage Synchronisation Across Desktop & Mobile
Every analytical context, chart configuration, watchlist, and open position syncs in real time between desktop, phone, and tablet — so transitioning between devices never interrupts the workflow.
Mobile Screening & Watchlist Management
Run screening filters and manage watchlists directly from mobile — adding or removing instruments from your active research pipeline while away from the desktop terminal.
Live Position Monitoring on Mobile
Monitor all open positions with live P&L, chart overlays, and margin status on the mobile app — maintaining full position awareness during commutes, meetings, or while away from the desk.
News & Alert Integration Across All Stages
Receive news alerts, price alerts, and indicator trigger notifications on mobile with the same filtering and sentiment tagging applied on desktop — ensuring no critical event goes unnoticed.
Post-Trade Journal Entry from Mobile
Add journal notes, tags, and observations to closed trades directly from the mobile app — capturing post-trade insights immediately while the trade's context is still fresh in memory.
Master the Complete RTX5 Analytical Workflow
RTX5 provides a dedicated educational curriculum structured around the 10-stage end-to-end analytical workflow — with each module covering a specific stage in depth, explaining both the analytical methodology and the exact RTX5 tools used to execute it. From screening configuration to post-trade performance review, every stage is teachable and learnable.
Building Your Screening Criteria in RTX5
A practical guide to configuring the RTX5 multi-asset screener using technical, fundamental, and sentiment filters to surface high-probability opportunities efficiently. Covers filter combination strategies, saved screen templates, and alert-linked scanning workflows.
Combining Technical and Fundamental Analysis in One Workflow
A methodology for integrating macro research and chart analysis within the RTX5 terminal — using news overlays, economic calendar markers, and multi-timeframe charting simultaneously. Learn to build a confluent trade thesis that draws from both analytical disciplines.
Pre-Trade Risk Planning with RTX5 Tools
A step-by-step guide to using RTX5's position size calculator, risk-reward modeller, and pre-trade checklist to structure disciplined trade entries. Covers risk-per-trade configuration, portfolio exposure management, and correlation-adjusted sizing.
Managing Open Positions Using RTX5's Monitoring Suite
A workflow guide for using RTX5's live P&L dashboard, dynamic stop tools, and news feed to actively manage positions through their full lifecycle. Includes trailing stop strategies, partial close techniques, and news-triggered adjustment workflows.
Post-Trade Review and Performance Optimisation
A framework for using RTX5's post-trade analytics, trade journal, and portfolio attribution tools to systematically improve trading performance over time. Covers setup classification, win-rate analysis by strategy tag, and data-driven strategy refinement.
Every Question on RTX5's End-to-End Workflow
Expand any question below for a detailed answer about RTX5's complete analytical pipeline.
Begin Your First Complete Analytical
Workflow in One Terminal Session
Access all 10 analytical stages, complete data continuity between every stage, and zero multi-platform fragmentation — available free with an RTX5 demo account.