AI-curated trade setups.
Entry, stop, target, and rationale routed as one structured card.
Built around the pattern Stripe uses for payments — every step is observable, idempotent, and reversible. No black boxes.
Tick data, ETF flows, options gamma, on-chain settlement, futures positioning, macro releases, central-bank prints, earnings, news NLP — normalized into a single event stream with deterministic timestamps.
Models combine signals into trade structures — entry, stop, target, confidence — with full attribution. Each setup carries a complete chain of evidence.
Risk envelope checked, idempotency key minted, order placed via your broker. We move the orders. Your broker holds the funds.
Every setup is structured — entry, stop, target, source, confidence — and timestamped to the millisecond. Nothing is "the chart looks good." Either the conditions trigger or they don't.
Each source contributes evidence — not a vote. The router weights inputs by historical reliability, regime, and asset class. You can inspect the chain on every signal.
Sources are scored against ground truth on a rolling 90-day window. Flaky inputs decay automatically.
Trending, mean-reverting, gappy — the model knows which kind of tape it's looking at and adjusts.
Every signal carries a full evidence trail. Click into the chain, see exactly which feeds fired and why.
Drop the broker layout you've outgrown. Pick a battle-ready template, redraw the canvas in seconds, or just describe the desk you want — Pip builds it.
Pixel-precise drag, snap, resize. Your layout, not the framework's.
Charts, watchlists, news, signals, alerts, calendar, notes, heatmaps, performance, AI command.
Saved layouts you can reload by name. Multiple workspaces in tabs for swap-friendly setups.
Connect a broker, set your risk, and the agent trades the same signals you see — sized to your account, gated by the same guardrails an institutional desk would expect.
Position size derived from confluence + volatility, capped per-asset and per-class. Never blows the day.
Every decision — opens, closes, skips — comes with the rationale that triggered it. Inspect any moment.
Broker disconnect, stale heartbeat, kill-switch, daily loss cap. The agent stops itself before you have to.
Every major surface now shows the real platform. Pick the one you need — they all stay in sync.
Entry, stop, target, and rationale routed as one structured card.
Charts, watchlists, signals, news, and AI panels arranged your way.
Source-grounded answers beside the same signal and portfolio context.
Positions, equity, leverage, and performance analytics stay together.
Custom logic and research workflows without leaving the platform.
Broker state and risk controls stay visible before execution turns on.
Secure bridge setup with connection health and account telemetry.
Equity, margin, drawdown, and mode gates surfaced before action.
The same feed, tuned for quick scan and tap decisions.
Filters, setups, account state, and source context in one desk.
Markitel is a routing layer, not a terminal. We send orders into the platform you trust — your funds stay with the broker, your risk caps stay enforceable, and the audit trail lives on your side.
Multi-asset, native EA bridge, sub-second fills
Classic terminal — works on the broker you already have
Raw-spread ECN routing for the latency-conscious
Mirror Markitel signals on your account, hands-off
Most signal services have an FAQ written by marketing. This one was written by the team.
Signals. Markitel is a routing layer that produces structured trade setups from market data. We don't tell you to trade — we make it possible to trade structured outputs reliably. Whether you take a setup is your call.
With your broker. Markitel never custodies funds. We send orders on your behalf via your broker's API; the broker holds the cash and the positions. We can be revoked at any time from inside their platform.
Every paper-trading account writes to immutable storage on a 15-minute cadence. Aggregate stats are computed from the audit ledger, not from a marketing dashboard. The full export is available on request to qualifying institutions.
The order kill-switch is mirrored to your broker on every state change, so if our service drops, your existing risk caps remain enforced at the broker level. New signals stop firing; positions are not touched.
Each source is scored on a rolling 90-day window against ground-truth outcomes for the asset class it covers. Decayed sources contribute less; promoted sources contribute more. You can see every source's current weight in the Methodology dashboard.
Yes — paper trading is free forever, including the full signal feed and AI assistant. Live execution requires a connected broker on the Pro plan.
Free for paper trading. Pro is monthly with no annual lock-in — covers live execution, instant signal delivery, the full source-attribution stack, and 20 watchlist slots. Elite adds API access, SMS alerts, and priority support. Founders launch pricing applies to the first cohort.
Both, on different surfaces. Beginners use the curated feed + AI assistant + paper account to learn the structure of a setup. Pros wire the API into their broker, build screener rails, and use the source-weighting dashboard to filter the firehose. The same data backs both.
MTrading, AMarkets, IC Markets, Pepperstone, XM, Exness — plus generic MT4/MT5/cTrader bridges. Stocks/options via Interactive Brokers FIX and Tradovate for futures. Crypto via Coinbase Prime and Binance. We add brokers based on user request — message support if yours isn't on the list.
Median latency from Markitel synthesis to a filled order on your broker is under 800 ms when using the MT5 bridge. The bridge runs as a tiny EA on your terminal and pulls signed payloads on a heartbeat — so the path is your terminal → us → your terminal, with no third-party broker-side server in between.
Yes — 30-day money-back on Pro and Elite, no questions, no exit interview. Paper trading is free regardless. If a signal misfires due to our error (not market behaviour), we credit the corresponding cycle automatically.
Fifteen primary streams across the asset universe — tick data, ETF flows, options gamma, on-chain settlement, futures positioning, macro releases, central-bank prints, earnings, news NLP, CFTC COT, options OI delta, funding rates, basis, term structure, and consensus shifts. Each is weighted by its 90-day calibration record, not by author reputation.
Fifteen feeds. One verdict. Zero guesswork.
Paper-trade free, forever — and connect your broker the day the edge is undeniable.