We tell you which stocks to buy, exactly what price to buy at, and when to sell. No charts to read. No jargon to learn. Real companies only — no penny stocks, no pump-and-dumps.
For cashiers, construction workers, office staff, anyone with a regular job who wants their money to grow without becoming a finance nerd.
Solid, established companies only. We screen out anything that looks like a scam or a lottery ticket before it ever reaches you.
No credit card required. Cancel anytime. 7-day free trial · 30-day money-back guarantee.
Full Self-Driving for your portfolio.
News, charts, "hot tips" on Reddit, your buddy's stock pick — it's all noise. We read everything that matters and tell you the answer in one sentence: buy this stock, at this price, and here's why.
Working people who want their money to grow without spending hours a day on it.
People chasing meme stocks, "get rich quick" plays, or anything that smells like a scam.
A paper-trading account running the same rules users get, measured over the trailing 30 days against the S&P 500. Same dates, same math, win or lose.
Every trade idea goes through the same disciplined process: collect the data, filter the junk, make a decision, then deliver or execute it.
We watch hundreds of real companies for a few specific things: official company news, big buyers stepping in, insiders buying their own stock, and price patterns that have worked before.
Most stocks we look at don't make the cut. Penny stocks, scams, and shaky companies are blocked at the door. Only the ones that pass every filter ever reach your inbox.
Every pick comes with three numbers: where to buy, where to sell for a profit, and where to sell to limit a loss. No vague "this might go up" — actual dollars-and-cents instructions.
Some conditions are intentionally skipped. High-volatility earnings events without edge, illiquid names, shortable-list rejections, macro stress days. Knowing when not to trade is half the system.
Random buying. Buying because Reddit said so. Selling out of panic. We replace all of it with specific picks, specific prices, and the discipline to skip bad days.
You will take fewer trades. But each one is intentional.
Four steps. That's it. No charts to watch all day. No decisions to second-guess.
Open your inbox or the dashboard. Every pick for the day is laid out with the buy price, sell-for-profit price, and sell-to-limit-loss price attached.
If we say WAIT, wait. If we say SKIP, skip. The trick to this isn't taking every pick — it's only taking the good ones.
Fixed fraction or defined-risk per trade. No "conviction bets" that wipe out a month. Sizing rules exist for a reason — use them.
When the system flags macro stress, earnings chop, or low-liquidity regimes, you step aside. Not every day is a trading day.
This is not constant activity.
Most of the edge comes from knowing when not to buy. Zero-pick days are a feature, not a bug. We don't make stuff up just to fill an email.
What happened: AA climbed to our $74.50 target. That is a +13% win, about +$135 on every $1,000 you put in. Insider buying and heavy call-option activity tipped us off before it moved.
In plain English: Buy CCJ now near $112.59. If it rises to $140.00, that is a +24% gain, about +$243 on every $1,000 you put in. If it instead drops to $98.00 (down about 13%), sell to keep the loss small.
Why we like it: Public high-confidence pick. Trump nuclear executive orders (May 2025) plus the Trump-announced $80B Westinghouse AP1000 partnership (Oct 2025) drive a multi-year nuclear-fuel demand cycle. CCJ owns ~49% of Westinghouse. Trading ~16% off its 52-week high ($135), recovering rather than extended. Analyst consensus Buy/Strong Buy, median target ~$140.
Every pick comes with a buy price, a sell-for-profit price, and a sell-to-limit-loss price. You're never guessing what to do next.
We pull from the same official, public sources the big firms use — then two top AI models cross-check every signal. No "trust me bro" tips. No copying random Discord servers.
Every official company filing as it publishes — earnings reports, big insider stock buys, takeover offers, new share offerings. Checked every 5 minutes.
What Berkshire, BlackRock, Fidelity, Invesco, Citadel, Bridgewater and other big firms are buying and selling. Pulled fresh every weekend.
Live stock prices that update by the second. Plus the list of stocks you can actually short, and full options data.
Analyst ratings, company news, insider buying activity, and whether companies beat or missed their last earnings.
Upcoming earnings dates, Wall Street price targets, and short interest (how many people are betting against the stock).
Daily lists of stocks doing something unusual — heavy insider buying, near earnings, big moves on real volume. We filter the pump-pattern ones out before you see them.
Daily price history for every stock. Pre-market and after-hours prices included.
Top market headlines and per-stock news as it breaks. Every story stamped with the time it actually published.
VIX (the fear gauge), S&P 500, Nasdaq, and small-caps — so we know if the whole market is calm, jumpy, or panicking before we tell you to buy anything.
3-month, 5-year, 10-year, and 30-year interest rates. Tells us if the bond market is calm or worried about a recession.
Two top-tier AI models (from OpenAI and Anthropic) each read every signal on their own. They have to agree before you see BUY NOW. If they disagree, you see WAIT or SKIP — disagreement is a caution flag.
Stocks you own and stocks you track. The system pays more attention to YOUR holdings than to random screen hits.
Every probability-based system takes losses. It's the design, not a flaw.
Multi-trade drawdowns happen in any system with positive expectancy. Expect them.
Anyone promising that is selling something else. The math doesn't work that way.
This is a probability-based approach, not certainty. Full risk framing in our Disclaimer.
Live brokerage portfolio, not a backtest.
Same four-step process on every signal.
A buy price, a sell-for-profit price, and a sell-to-limit-loss price on every pick.
Built to execute identically for years.
Most copy-trading platforms follow public disclosures after they appear. That means the signal is often delayed before the user can act on it.
MarketFSD is built differently. It reads live public market inputs as they happen and turns them into a clear decision: BUY NOW, WAIT, or SKIP.
That does not guarantee outcomes. It does mean the judgment is based on current conditions instead of stale reporting.
Most retail tools stop at data or alerts. Real traders need a decision. MarketFSD exists to deliver that decision in plain English, with defined risk.
MarketFSD is non-custodial. You keep control of your account and can disconnect at any time.
Start with Signals. Upgrade to Connected portfolio guidance or full automation only if you want it.
This is a tool. Results depend on how it is used.
Try any tier risk-free. If Market FSD isn't for you within the first 30 days of your paid subscription, cancel for a full refund — no questions asked. We trust our product that much.
For traders who execute themselves
Connect your Tradier portfolio
Full Self-Driving for your portfolio
We tell you which stocks to buy, at what price, and when to sell. Solid companies only — no penny stocks, no scams, no nonsense.
No credit card required. Your first picks can land in your inbox within hours.
30-day money-back guarantee · cancel anytime.