SHEET 50 — MARKETS

Seven asset classes. One research method.

GiottoO applies the same discipline everywhere: probability-based market intelligence, volatility and catalyst intelligence, and defined-risk research — whether the underlying is a stock, an option chain, an ETF, a coin, a barrel of oil, a rate decision or a regulated event contract.

Educational research only. Not financial advice.

SEC. 01 — THE SEVEN PILLARS

SHEET 51StocksSingle-name equity research: price structure, catalysts, volatility context and probability framing for the largest US names.CATALYSTSVOL CONTEXTLEVELSOPEN PILLAR →SHEET 52OptionsThe core of the platform — IV rank, skew, term structure, probability of profit and defined-risk structure research.IV RANKPOPDEFINED RISKOPEN PILLAR →SHEET 53ETFsSector rotation, factor exposure, correlation and flow research across index, sector and thematic funds.ROTATIONCORRELATIONEXPOSUREOPEN PILLAR →SHEET 54CryptoRisk-first digital-asset research: volatility regimes, liquidity depth and custody-aware position sizing. Research only.VOLATILITYLIQUIDITYRISK-FIRSTOPEN PILLAR →SHEET 55CommoditiesEnergy, metals and agriculture through public EIA, USDA and FRED data — curve shape, inventories and seasonality.ENERGYMETALSAGOPEN PILLAR →SHEET 56MacroRates, inflation, the Treasury curve and the economic calendar — the regime layer that conditions every other pillar.FREDCURVECALENDAROPEN PILLAR →SHEET 57Event ContractsProbability research for CFTC-regulated event markets — implied probability vs price, fee-adjusted expected value.PROBABILITYFEE-ADJ EVREGULATEDOPEN PILLAR →

SEC. 02 — WHY CROSS-ASSET

Risk moves between markets

Rate moves reprice equities, equity vol spills into crypto, energy shocks show up in inflation prints. Reading one market in isolation means reading it late. The macro pillar conditions every scan on the platform.

Probability is the common language

An option's delta, an event contract's price and a regime model's readout are all probability statements. GiottoO expresses every pillar in the same units so setups can be compared across asset classes.

Defined risk travels everywhere

Whatever the asset class, the same rule applies: know the maximum loss before anything else. Every tool on this platform leads with risk, not with upside.

Cross-asset tools

Today's Market Picture

A structured daily brief: pre-market levels, catalysts, vol snapshot, what to watch.

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Opportunity Scanner

One scored, ranked queue across every asset class — probability, liquidity, vol, catalyst.

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Risk Dashboard

Portfolio Greeks, VaR, correlation and tail-risk stress tests in one panel.

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Portfolio Risk

How your positions behave together — concentration, correlation and drawdown framing.

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SEC. 03 — GET STARTED

Run your first question through the Decision Engine.

Free to start. GiottoO Perspective ($29/mo) unlocks every pillar in depth; Pro ($79/mo) adds exports, alerts and API access.

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DATA SOURCES

4 SOURCES
FinnhubLIVEPublic source
FRED (St. Louis Fed)LIVEPublic source
TiingoLIVEPublic source
Alpha VantageLIVEPublic source
last updated unknown · data may be delayedDelayed data

Pillar data is sourced from public, licensed, or user-authorized feeds and may be delayed. See each pillar page for its source and risk disclosures.

GiottoO provides educational market research, probability analysis, and risk tools based on public, licensed, or user-authorized data. GiottoO is not a broker-dealer, investment adviser, commodity trading adviser, or financial adviser. Nothing on this platform is financial advice or a guarantee of performance. Trading and investing involve risk.