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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 the Market News Analyzer?
What markets are covered?
What’s the difference between Market Overview and Industry Analysis?
Is this tool giving financial advice?
How do I run a Market Overview analysis?
How do I run an Industry Analysis?
What does “Reset” do?
What does “Refresh” do (Industry Analysis results)?
Which timeframe should I pick?
Why do results change a lot between 24h and 30d?
What is “Overall Sentiment” in Market Overview?
What does “Confidence Level” mean?
What is the “Brief Overview” section?
What are “Key Market Insights” and “Investor Implication”?
What is “Market Outlook” (short-term vs long-term)?
What does the sentiment bar mean (Positive / Neutral / Negative %)?
Why is Neutral usually the biggest slice?
What is “Sentiment Distribution” in Industry Analysis?
What is “Market-Moving News”?
What do High / Medium / Low Impact filters do?
Why do I sometimes see “No market-moving headlines found”?
What is the “Recent Headlines” list?
Why do headlines have pagination and “Headlines per page”?
What does “Tickers mentioned” mean?
Why do some headlines show images or large preview blocks?
What can I select in “Industry Sector”?
Why are there so many industry categories?
What does the “All Sources” filter do (Industry Headlines)?
What does the “All Sentiment” filter do (Industry Headlines)?
Why should I filter by source before trusting sentiment?
I clicked “Start Analysis” and nothing happened — what should I do?
Why do I sometimes see irrelevant or “non-investing” headlines?
Why does the AI summary sometimes feel generic?
What is this tool best used for?
What is this tool NOT good for?
Best beginner workflow inside FinMonkeys using this tool
How should I interpret “Investor Implication” safely?