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Tools FAQs
Quick answers about the analysis and market tools available in FinMonkeys.
Search by tool name or browse categories to explore capabilities.
Catalyst Radar
Chart Analysis
Company Headlines
ETF & Mutual Funds
Filings 10 K
Filings 10 Q
Hot Money Tracker
Leading Indicators
Market & Industry News
Portfolio Simulator
Social Analyzer
Stock Pulse
Watchlist
What is Chart Analysis?
What markets are covered?
What’s the best beginner workflow inside this page?
What does the “Pre-Market” badge mean?
What does “Opens in …” mean?
Why does the UI say auto-refresh is paused?
How do I change the stock I’m analyzing?
What does the “Daily” dropdown do?
What is “Open in…” on Chart Analysis?
What is shown on the main chart?
What is “Show Volume”?
What does “Chart Height” do?
What does “Refresh” do?
What does “Auto-refresh” do?
What is the Technical Indicators panel?
What are MACD, Signal, and Histogram?
What is Stochastic %K and %D?
What is ADX?
What is ATR?
What do the little (i) info icons do?
What is Pattern Detection?
What does “26 found” mean?
What does “High reliability” mean?
What is “Span: Candles X to Y”?
What does “Status: completed” vs “failed” mean?
How should beginners use patterns without getting tricked?
What is the Technical Bias card?
What does “Confidence 93%” actually mean?
Why does it say “X bearish signals vs Y bullish signals”?
What are Support and Resistance?
What are “Target” and “Stop-Loss” and how should I treat them?
What does the “long term” tag mean?
What is Advanced Risk Analysis?
Overview tab: what is Risk Level and Risk Score?
Overview tab: what is Risk/Reward?
Overview tab: what is Success Probability?
Overview tab: what is Market Regime?
Position tab: what is Entry Strategy?
Position tab: what is Exit Strategy?
Why do I see Standard R/R and Aggressive R/R?
What is Position Sizing and why is it so important?
Why do I sometimes see “Account value is too small…”?
What do the Position Sizing outputs mean?
Volatility Analysis: what does it mean?
Metrics tab: what is Expected Drawdown?
Metrics tab: what is Max Historical Drawdown?
Metrics tab: what are Sharpe and Sortino?
Metrics tab: what are Gain-to-Pain and Calmar?
Metrics tab: what is Recovery Time?
Metrics tab: what is the Confidence Interval?
Metrics tab: what is Bayesian Analysis (prior, likelihood, posterior)?
Settings tab: what does Risk Tolerance change?
Settings tab: what is “% Risk Percentage”?
Settings tab: what does Account Value do?
Why do settings apply immediately?
What is AI Insight?
Why are there two AI Insight tabs?
Why is AI Insight scrollable?
What is Fundamental Insights doing inside Chart Analysis?
News tab: what am I seeing?
Sentiment tab: what is Stock Sentiment vs Market Sentiment?
Sentiment tab: what are Key Topics?
Filings tab: what is shown here?
What is the Final Decision?
Why can Multi-Factor say WATCH while Technical Bias says SELL?
What do the factor weights mean?
What does the bearish–neutral–bullish bar represent?
What do the timestamps (“Sentiment: … ago”, “Market: … ago”) mean?
What is the Key Insights box inside Multi-Factor?
What are Related Tickers?
How should I use Related Tickers intelligently?
Why do indicators and the chart sometimes “feel inconsistent”?
Why do I see many duplicate patterns (e.g., multiple Double Tops)?
Can I treat SELL/BUY labels as financial advice?
Why might intraday history or availability vary?