30-second orientation
Use the first screen like a trading desk.
- Check the executable read and gate status.
- Confirm spread, feed age, funding and invalidation.
- Open Spot or Futures only when the gate is clean.
- Use the deeper panels to audit the thesis before sizing.
Trust layer
Free market information. No account. No custody. No performance promise.
SFB is built as a professional information terminal: it reads public market data, labels data quality, ranks conditions and exposes risk controls. It does not sell trading calls, place orders, hold funds, request exchange credentials or promise returns.
Trust & Methodology
Open once. Verify the feed. Act only when the gate allows it.
A simplified daily desk for professional use: data health, executable read, vetoes, personal watchlist, alerts, backtest context and chart levels in one screen.
The system promotes analytical candidates only after live or snapshot data passes quality checks.
Live channels are being audited. Snapshot/cache reads are useful for context, not execution.
Production trading desk
VERIFY FIRST
BTCUSDT is the first verification target until Binance confirms a stronger executable book.
The desk is auditing Binance market data, live book quality and execution gates.
The page never opens empty: live data wins, then REST snapshot, then last verified cache, then a clearly locked reference watchlist.
A trade plan appears only after the data passport and execution gate are satisfied.
Open an asset to run a local candle replay against the loaded chart history.
Enable local browser alerts for high-score executable reads. No account, no backend and no private keys.
Auto mode chooses Binance spot or USDT perpetual per selected asset, with explicit handling for non-operable references.
Decision gates · analytical surface
Gates, opportunity board and unique modules
The deeper layer behind the production verdict: four execution gates, the live opportunity board and the explainable modules that show why a setup is promoted or blocked.
daily cockpit
Open it, verify the feed, decide with a complete execution desk.
A persistent professional surface: verified data, execution-oriented outputs, score decomposition, no-trade vetoes, chart context, alerts, risk budget and explicit Binance reference link.
The desk shows a useful read immediately, but blocks execution until market data is verified.
The platform never pretends a reference or cached read is a live execution condition.
Free professional crypto terminal · Live Binance intelligence · No account required
A decision desk first. A full terminal underneath.
The first screen gives a tradable read, execution gate, risk invalidation, dislocation scan and Binance bridge. The rest of the workspace explains and validates the decision.
Right now
Feed verification active · execution gates stay locked until the first verified live read.
SFB live conviction desk
Explain the setup after the impact.
This section deepens the first-screen read with ranked conviction, execution quality, dislocations, risk vetoes and Binance bridge controls. Every card is fed by the same live rows used by the terminal.
Platform index
What this terminal consolidates
A single browser workspace for workflows normally split across charting, funding, depth, flow, arbitrage, options and risk dashboards. The purpose is not marketing language — it is fast proof through live numbers, visible latency and specific opportunity reads.
Live market terminal
Track real-time price action, candles, volume, order-book depth, aggressor flow, funding, basis and derivative pressure from a single professional workspace.
Alpha and arbitrage tools
Scan for triangular spot routes, cash-and-carry structures, funding extremes, spread anomalies, liquidity sweeps and relative-value dislocations.
Risk-first workflow
Filter opportunities through execution safety, spread, slippage, liquidity, volatility, data freshness, portfolio concentration and regime conditions.
Self-contained research
Generate internal briefs, watchlists, alerts, trade plans, scenario shocks, market summaries and explainable score reports directly inside the platform.
What this replaces
The browser-based crypto-trader stack worth roughly $400–$500 per month, in one workspace.
- TradingView Premium ≈ $59.95/mo — multi-timeframe charting, screener, alerts. Consolidates core spot and perpetual monitoring.
- Coinglass Pro ≈ $49/mo — funding, open-interest, basis, derivative bias. Consolidates Binance perpetuals and spot/futures basis monitoring.
- CryptoQuant Advanced ≈ $99/mo — flow, exchange aggregates, derivatives. Partially covers exchange-side flow and aggregates; on-chain is not covered.
- Material Indicators ≈ $89.99/mo — depth heatmap, order-flow, fire-charts. Consolidates depth ladder, aggressor flow and microstructure views for Binance markets.
- Laevitas Pro ≈ $200/mo — options analytics. Partially covers term structure, IV regime and skew context where public data is available.
Honest scope: this is a Binance-centric workspace. It does not replace on-chain analytics suites (Glassnode, Nansen) or non-Binance liquidation feeds. What it does cover is collapsed into one live screen, free, with no account.
SFB analytical tools
Modules that make the terminal feel ownable, not generic.
These are product-level tools built from transparent scoring categories, microstructure, regime and execution-quality checks. They are visible immediately, then deepened in the terminal below.
Score Stack Ranker
Ranks the cleanest opportunities by SFB score, risk score and live freshness.
Execution-readiness gate
Blocks attractive-looking assets when spread, stale data or weak liquidity make them unsafe.
Dislocation Map
Surfaces funding, basis and arbitrage stress before it becomes obvious on a chart.
Conviction Brief
Compresses the full terminal into one explainable operating thesis.
Decision Layer
Production intelligence and veto system
This layer turns the terminal into a guided product: it checks data quality, ranks what is actually tradable, explains why opportunities are blocked, and builds a professional action plan from live market conditions.
Autopilot action board
Prioritized workflow built from score, live-feed age, spread, liquidity, overextension and regime pressure.
Load and data health
Quality firewall
Trader advantage stack
Operator plan
Score Stack
Professional opportunity validation
A high-end terminal should not only show markets. It should explain where a setup is forming, why it exists, when it is invalid, how much size the book can absorb and which actions deserve attention now.
Setup brief
One-page professional read generated from the terminal's own data.
Regime probability map
Risk-on, risk-off, compression and liquidation-risk probabilities derived from breadth, volatility, funding and liquidity.
Explainable score stack
Top candidates with score decomposition, veto reasons and execution notes.
Data quality SLA
Execution simulator
Estimates whether the selected market can absorb a tactical order without invalidating the setup.
Portfolio allocator
Creates a risk-filtered allocation from the current opportunity universe. It penalizes spread, extension and concentration.
Scenario shock lab
Projects watchlist and top-candidate sensitivity under broad market shocks.
Liquidity sweep radar
Workspace snapshots
Save the current selected asset, watchlist, alerts and operator note locally.
Operator shortcuts
Main dashboard
Institutional market read
Real-time data matrix
Status, visible latency and traceability for every feed used by the platform.
Data coverage
What updates live and what is calculated internally.
Internal heatmap
Ranking by movement, liquidity and transparent score categories.
Executive summary
Automatic thesis generated from site data.
Universal radar
Opportunities ranked by internal analysis
| Symbol | Market | Price | 24h | Volume | Score SFB | Read | Actions |
|---|---|---|---|---|---|---|---|
| Verifying ranked screener… | |||||||
Investment ecosystem
Internal tools for each operating path
| Module | What it solves | Data used | Key risk | Internal tool |
|---|---|---|---|---|
| Spot market | Liquid asset and momentum selection | Price, volume, candles, order book | Overextension and rotation | Radar + technical sheet |
| Futures | Tactical read with funding and premium | Mark, index, funding, open interest | Liquidation and leverage | Derivatives + risk |
| Margin | Debt simulation and critical distance | Capital, loan, price and collateral | Margin call | Margin lab |
| Options | Hedging and convexity | Scenario, delta, expected drawdown | Premium, expiry and liquidity | Hedge lab |
| Yield | Annual rate, term and opportunity cost | Capital, annual rate, days | Lock-up and rate variation | Yield simulator |
| Bots / grids | Range and grid viability | Range, capital, grid count | Range break | Grid simulator |
| DCA | Disciplined accumulation plan | Contributions, periods, assumed price | Averaging weak assets | DCA planner |
| Strategy replication | Strategy audit before replication | Max drawdown, win rate, profit factor | Hidden risk and survival | Quantitative auditor |
| Launches / events | Unlock, FDV and selling-pressure analysis | FDV, float, unlock, demand | Dilution | Event analyzer |
Margin lab
Margin result
Grid bot simulator
Grid result
DCA planner
DCA result
Replication auditor
Replication result
Launch / event analyzer
Asset sheet
Select an asset to analyze
Professional live chart
OHLCV candles with WebSocket, crosshair, zoom, pan, volume, VWAP, averages, bands, levels and visible liquidity.
Diagnosis
Order-flow tape
liveDepth ladder
top 20Execution panel
Technical levels
Microstructure
Operating thesis
Professional layer
Tools that turn live data into analytical context
Liquidity trap radar
Searches sweeps of lows/highs, anomalous wicks, relative volume and book imbalance.
Stop-hunt detector
Classifies whether the move looks like absorption, stop hunting or clean continuation.
Multi-timeframe matrix
Compares 15m, 1h, 4h and 1d so the user does not trade against the dominant structure.
Compression and breakout
Detects volatility contraction, band width and tactical expansion probability.
Execution score
Penalizes spread, funding, overextension, insufficient liquidity and flow pressure.
Rotation map
Classifies leaders, laggards, defensive assets and overheated assets in the USDT universe.
Monte Carlo survival engine
Result Monte Carlo
Analytical report
SFB Opportunity Desk
Arbitrage, funding and execution-aware opportunity desk
The site does not send the user to another platform: it detects inefficiencies, calculates costs, estimates execution risk and generates actionable plans inside the terminal.
Spot triangular arbitrage
Scans USDT → asset A → asset B → USDT routes with bid/ask, fee and slippage. Shows only net or near-executable opportunities.
| Route | Gross | Net | Costs | Liquidity | Risk | Actions |
|---|---|---|---|---|---|---|
| Calculating routes… | ||||||
Spot/perp cash-and-carry
Looks for divergences between spot and perpetual, premium/discount, annualized funding and sufficient liquidity.
| Symbol | Basis | Funding APR | Setup | Score | Risk | Action |
|---|---|---|---|---|---|---|
| Calculating basis… | ||||||
Funding farming
Stablecoin monitor
Anomaly radar
Real-cost calculator
Tactical playbook generator
Builds an operating plan using the selected asset, microstructure, MTF, execution and risk.
Professional operator checklist
Advanced Risk Lab
Advanced risk-control layer
Advanced control layer: liquidity vacuum, stop-cascade proxy, relative value, no-go firewall, execution routing, alert blueprints and risk-of-ruin controls.
Execution router
Chooses passive, confirmation-only or blocked execution based on spread, ATR, book depth and flow pressure.
No-go firewall
Hard and soft blockers before any trade plan is considered actionable.
Kelly sanity
Risk budget derived from setup quality, confluence and estimated R-multiple. This is a risk-control module, not a recommendation.
Liquidity vacuum radar
Stop-cascade proxy
Relative value matrix
Alert blueprints
Pre-built internal alert logic for breakout confirmation, failed breakout, execution quality and invalidation.
Sublime brief
Derivatives
Funding, premium, open interest and market bias
Funding map
Selected asset panel
Options
Internal volatility and hedge lab
Options data
Hedge calculator
Result
Yield
Yield product and opportunity-cost simulator
Yield simulator
Result
Risk filter
Portfolio & risk
Stress test, position sizing and exposure
Position sizing
Risk result
Watchlist
Command Center
Operator workflow layer
A professional user should not only see data. The terminal must tell them what deserves attention, what is blocked, what to compare and what to monitor next.
What to do now
Prioritized internal workflow built from live market quality, breadth, score, spread and risk.
Market cockpit
Smart comparator
Compare three assets by score, liquidity, movement, risk and execution penalty. The verdict chooses the cleanest candidate, not the loudest mover.
Strategy Forge
Premium toolkit
Candidate board
Daily research brief
Compiled from the live dashboard, selected asset, opportunity desk and risk gates. It can be copied for a journal, chat room or desk note.
Local alerts
Monitoring inside the browser
New alert
Active alerts
FAQ
Important platform notes
Is the terminal free?
Yes. The platform is designed as a free, browser-based market information terminal for analysis, alerts and research workflows.
Does it execute trades?
No. It provides data, analytics, scoring and risk controls. It does not route orders, hold funds or provide custody.
Does it guarantee arbitrage profit?
No. Arbitrage scanners estimate possible inefficiencies. Fees, slippage, liquidity, latency and execution failure can remove the opportunity.
What data is shown?
The terminal uses public market-data feeds where available, then labels data quality, live-feed age and data-quality state so the user can judge reliability.
How is the project sustained?
The platform is free and supported by voluntary donations from users who want to help fund hosting, maintenance, development and new modules.
Where is the methodology?
The scoring model is documented at a category level: data health, liquidity, spread, movement, microstructure, funding/basis and risk penalties. It is not presented as audited performance.