Trade Signal
Real-time trade signals with executable Buy/Sell/Hold recommendations for stocks. Use when asked about trading decisions, stock analysis, technicals, buy/sell calls, earnings plays, price targets, ana
Real-time trade signals with executable Buy/Sell/Hold recommendations for stocks. Use when asked about trading decisions, stock analysis, technicals, buy/sell calls, earnings plays, price targets, ana
Real data. Real impact.
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Buy/Sell/Hold Trade Signals for AI agents. Transform complex market intelligence into clear, executable Buy/Sell/Hold recommendations on global stocks and other public securities. Trade-signal gives specific price targets on any given securities, real-time data and institution-grade trade thesis. Trade-signal is forward looking but also capable of technical and fundamental analysis on current/historical price actions, with a qualitative and quantitiave explanation as to why a certain securities (stock) price moved the way it did.
# Get trade signal for a stock ./scripts/search.sh "Should I buy NVDA?"Get signal with full analysis
./scripts/search.sh "Is AAPL a sell at current levels?"
Check multiple tickers
./scripts/search.sh "AAPL NVDA TSLA MSFT"
Earnings play analysis
./scripts/search.sh "What's the best trade ahead of NVDA's upcoming earnings? Give me specific options strategy with prices."
Base URL:
https://app.terminal-x.ai/api
| Query Type | Examples |
|---|---|
| Trade Decisions | Buy/sell/hold calls, entry/exit timing, position sizing |
| Earnings Plays | Pre-earnings positioning, post-earnings reactions, historical patterns |
| Price Catalysts | What's moving the stock, macro events, technical triggers |
| Analyst Actions | Upgrades, downgrades, price target changes, investment thesis |
| Technical Analysis | Support/resistance, volatility, momentum indicators |
| Risk Assessment | Stop loss levels, downside scenarios, risk/reward analysis |
37,565 Global Tickers + 6,104 ETFs across all major exchanges:
| Region | Tickers | ETFs |
|---|---|---|
| US (incl. ADRs) | 7,301 | 4,979 |
| Western Europe | 11,123 | โ |
| Canada | 4,690 | โ |
| Japan | 3,873 | 200 |
| Korea | 3,856 | 500 |
| Hong Kong | 2,638 | 176 |
| Shanghai | 2,315 | โ |
| Taiwan | 1,072 | 200 |
| Singapore | 565 | 49 |
| Other | 132 | โ |
Asset Classes: Global Equities, ETFs, Global macro, FX, commodities, crypto content available.
Running the script returns JSON:
{ "query": "Should I buy NVDA before earnings?", "tickers": ["NVDA", "AMD", "GOOGL"], "tradeSignal": "HOLD", "priceTarget": { "entry": null, "exit": "$185-190", "stopLoss": "$175", "timeHorizon": "T+1 to T+3" }, "agentAnswer": "**Hold current position: Sell at $185-190 on any post-earnings bounce within T+1 to T+3.** NVDA closed at $181.36 and trades at $180.88 after hours. Despite consistent earnings beats since August 2024, the stock has exhibited a persistent sell-the-fact pattern, declining in 4 of the last 5 post-earnings sessions. [1]Options markets price a 6.68% implied move ($12.13 swing) for the November 19 after-hours release. [2]", "sources": [ { "refId": 1, "sourceTitle": "Nvidia Earnings Have Become a Consistent Sell-the-Fact Event", "sourceName": ["Bloomberg"], "datePublished": "2024-11-18T14:30:42Z" }, { "refId": 2, "sourceTitle": "NVDA Options Implied Move Analysis", "sourceName": ["Goldman Sachs"], "datePublished": "2024-11-19T09:00:00Z" } ], "technicals": { "rsi": 62.4, "macd": "bullish crossover", "support": "$175", "resistance": "$190", "trend": "neutral" }, "relatedAnalysis": [ "AMD earnings correlation", "Semiconductor sector momentum" ] }
| Field | Description |
|---|---|
| Your original question |
| Relevant stock tickers |
| BUY, SELL, or HOLD recommendation |
| Entry, exit, stop loss, time horizon |
| AI analysis with citation references [1], [2] |
| Citations with title, source name, date |
| RSI, MACD, support/resistance, trend |
| Related research topics |
Query:
./scripts/search.sh "What's driving the fall in silver prices? Identify all the catalysts and make a trade decision for tomorrow."
๐ **Silver Price Decline: Catalyst Analysis**Signal: AVOID | Time Horizon: T+1 Related: SLV (-28.54%), SI (-0.77%), XAGUSD (+2.58%)
Silver has entered bear market territory after falling nearly 22% from its recent record high, driven by a confluence of macro and technical factors. [1][2]
Macro Catalysts:
- President Trump's announcement of Kevin Warsh as Fed pick eased concerns about Fed independence, triggering a sharp dollar rally [7][10]
- Repricing underway with assumption that smaller Fed balance sheet would tighten financial conditions [8]
- Declining capital leakage from China โ more capital returning to China, affecting precious metals where sentiment is currently driving prices [7][9]
Technical Catalysts:
- Parabolic run with 14% intraday surge showed clear blowoff top pattern [1][9]
- One-month volatility surged above 96%, steepest level in nearly 25 years [7][10][12]
- Inverted volatility curve signals traders anticipate further unwinding [7][10][12]
- CME raised margin requirements to 11% from 9% โ familiar late-cycle signal that speculative excess is being wrung out [5][8][13]
Valuation: Current price ($86.62) trades significantly above 200-day MA of $48/oz, indicating deeply overbought conditions. Analysts estimate fair value around $60/oz. JPMorgan's Marko Kolanovic suggests silver should trade at half its current price later in 2026. [14][16][18][20][21][22][23]
Trade Decision: Avoid purchasing silver for tomorrow. Market likely to continue unwinding speculative positions. Wait for stabilization at $75-$80 support zone before considering new long positions. [3][11]
Sources: [1] Bloomberg News: Silver Bear Market Entry [2] Goldman Sachs Precious Metals Weekly Report [7] Bloomberg Terminal โ Silver Volatility Analysis [10] Reuters โ Fed Policy Impact on Dollar [16] JPMorgan Research Note โ Precious Metals Outlook [21] CME Group โ Margin Requirement Update
Query:
./scripts/search.sh "Give me a clear buy/sell/hold call and an optimal target price for T+5."
๐ **Silver Trade Signal: 5-Day Outlook**Signal: HOLD | Target Range: $80-$90 | Time Horizon: T+5
Silver has experienced extreme volatility with current price at $86.31, following intraday high of $88.00 and low of $77.00 today. [1]
Technical Summary:
- 1-Month Volatility: >96% (extreme)
- Volatility Curve: Steeply inverted โ traders anticipate further unwinding [5]
- Gold/Silver Ratio: Below 50 (stretched outperformance vs gold) [7][17]
- Support: $83-$85 (larger retracement) | Resistance: $93.50-$96.00 [9]
Historical Pattern: In six prior instances since 1970 where silver doubled in 40 days and rose over 10% in a single day, prices were lower 20 days later. This suggests caution, but immediate sustained crashes are not guaranteed. [16]
Bullish Factors (Long-term):
- Structural supply deficit from solar, EVs, and data centers [7][3]
- Physical demand from China and India remains strong [1][5][8]
- Shanghai silver futures trading at premium to global spot [1][5][8]
Bearish Factors (Short-term):
- CME margin hike to 11% forcing speculative liquidation [10]
- Risk-reward completely skewed at current levels [14][11]
- "Meme trader" phenomenon contributing to volatility [9]
Trade Decision: HOLD for next 5 trading days. Consolidation phase likely after correction from peak near $120.60. Target $80-$90 reflects stabilization period with potential for minor upward corrections within volatile environment.
Sources: [1] Silver Spot Market Data โ February 1, 2026 [5] CME Group โ Volatility Curve Analysis [7] Bloomberg โ Gold/Silver Ratio Report [9] Reuters โ Silver Market Dynamics [14] Bank of America โ Precious Metals Valuation [16] Historical Precious Metals Database โ Pattern Analysis
Query:
./scripts/search.sh "What are analysts saying about NVIDIA?"
๐ **NVIDIA Analyst Sentiment**Wall Street remains overwhelmingly bullish on NVIDIA with 45 Buy ratings, 3 Hold, and 0 Sell. Average price target: $950 (18% upside). [1]
Recent Actions:
- Goldman Sachs: Reiterated Buy, PT $1,000 โ "AI infrastructure spend remains in early innings" [2]
- Morgan Stanley: Overweight, PT $950 โ Raised estimates on Blackwell demand visibility [3]
- Bank of America: Buy, PT $925 โ "Data center TAM expansion continues to exceed expectations" [1]
Key debate centers on sustainability of 70%+ gross margins as competition from AMD MI300X intensifies in 2025. [3]
Sources: [1] Bloomberg Analyst Consensus Data - January 2025 [2] Goldman Sachs NVDA Initiation Report - January 15, 2025 [3] Morgan Stanley Semiconductor Research Note - January 12, 2025
The agent will automatically use this skill when asked:
1. User: "How is NVIDIA doing?" 2. Agent: [calls search.sh "NVIDIA financial performance and outlook"] 3. Agent: "NVIDIA reported record Q3 revenue of $35.1B, up 94% YoY. Data center segment drove growth at $30.8B. Analysts maintain Buy ratings with average PT of $950. Key catalyst: Blackwell architecture ramp in Q1 2025." 4. User: "What about their margins?" 5. Agent: [calls search.sh "NVIDIA gross margin and profitability"] 6. Agent: "Gross margin was 75% in Q3, up from 70% YoY. Management expects margins to moderate to 73-74% as Blackwell ramps due to initial yield curves, per CFO commentary on earnings call."
# Get financial data then execute trade ./scripts/search.sh "AAPL earnings analysis" && trade-signal query "Should I buy AAPL?"Research before news check
./scripts/search.sh "Tesla delivery numbers" && finance-news news TSLA
| Do This | Not This |
|---|---|
| "NVIDIA data center revenue Q4 2024" | "NVIDIA revenue" |
| "AAPL gross margin vs MSFT" | "Apple margins" |
| "What did Jensen Huang say about AI demand" | "NVDA CEO comments" |
| "Tesla deliveries Q3 2024 vs Q3 2023" | "Tesla cars" |
Best Practices:
{ "code": 400, "message": "Missing or invalid query parameter" }
| Error Code | Meaning | Resolution |
|---|---|---|
| 400 | Missing query | Include parameter |
| 500 | Server error | Retry request |
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