3rader monitors your instruments through the New York sessions and works a fixed liquidity-and-structure model on each one: purge, change in state of delivery, fair value gap, retracement, confirmation. You see the setups that reach the end of that sequence, and the state of the ones that have not. Nothing is skipped and nothing is invented to fill a panel.
Each instrument moves through the same state machine, once per session. A setup is only published after the last step, and only if it also passes the risk gate.
A one-hour candle closes beyond a liquidity level — a previous high or low where resting orders have built up.
The five-minute series confirms the shift: the level that held before the purge gives way.
The first qualifying one-minute imbalance is marked. This is the zone price is expected to return to.
Price trades back into the gap. The setup is armed but not yet valid — a retracement alone is not a signal.
The entry condition completes inside the gap. Only now is the setup published, with its levels and its risk-to-reward.
The platform shows its reasoning rather than just a direction. Every setup carries the condition checklist that produced it.
Where each instrument has reached in the model right now — watching, purged, CISD confirmed, waiting on a retracement — updated as the engine moves.
Setups the engine reached full confirmation on and the risk gate approved. Entry, stop, target and the ratio between them.
Every step of the sequence, marked met or not, with the liquidity and imbalance levels the decision was made against.
What the engine produced and when, filterable by instrument, session and date. The useful half of a signal is often its context.
Every time on the platform is New York local time, daylight-saving aware. The session windows and your charts agree without conversion.
Email on new confirmed setups, and in-app notifications for payment and subscription events. Delivery options depend on your plan.
A dashboard, a live market view, the setups feed, historical records and an analysis workspace. What you can reach depends on your plan.
Engine status, the active session window and the count of confirmed setups for the day.
Where each instrument sits in the model, with its last traded price and the condition it is waiting on.
Direction, entry, stop and target, with the checklist behind each one.
Three tiers, billed monthly. Each one unlocks more of the platform.
Structured market coverage and the signals view, for a single disciplined approach to the sessions that matter.
The full validated setup feed, with the liquidity and structure detail behind every signal.
Every tool the platform runs, including the analysis workspace and performance reporting.
Prices are in US dollars. Subscriptions run for 30 days and do not renew automatically — see the terms.
No. 3rader analyses the market and publishes setups. It does not connect to your broker, does not place orders and does not manage money. Every decision to act is yours.
No, and you should be sceptical of anything that does. Trading involves risk of loss. 3rader applies a defined process consistently, which is a different thing from promising an outcome.
The platform monitors 17 instruments across foreign exchange, metals, indices and crypto. The full list is visible inside the platform on the live market page.
Asia, London, New York AM, New York PM — the periods the strategy is built around. All times are shown in New York local time.
Card payment is handled by Flutterwave; 3rader never sees or stores your card details. Subscriptions do not auto-renew, and you can cancel from your subscription page at any time — access continues to the end of the period you have already paid for.
An email address and a card, if you want a paid plan. Create an account, choose a plan, and the dashboard opens.
Create an account and choose a plan. The dashboard shows every monitored instrument, its current state in the model, and every setup the engine has confirmed.
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