Visualizations

Every result comes back as an interactive chart — the same components the chat renders, shown below with the prompt that produced each one. Try the view dropdown, zoom, timeframes, and PNG export on any of them.

Price Charts with Indicators

OHLC candlesticks with any indicator overlaid — moving averages, VWAP, SuperTrend, Bollinger Bands, and 30+ more. Oscillators like RSI and MACD draw in their own pane below the price. Toggle individual indicators from the Indicators menu.

Chart AAPL for the last year with a 20-day WMA, VWAP, and SuperTrend overlaid on the price
AAPL — Price, WMA(20), VWAP, SuperTrend (1Y)
Options
356.95282.73208.51134.2960.07-14.15
Start7/17/77/107/157/187/237/287/318/58/88/138/188/218/268/299/49/99/129/179/229/259/3010/310/810/1310/1610/2110/2410/2911/311/611/1111/1411/1911/2411/2812/312/812/1112/1612/1912/2412/301/51/81/131/161/221/271/302/42/92/122/182/232/263/33/63/113/163/193/243/274/14/74/104/154/204/234/285/15/65/115/145/195/225/286/26/56/106/156/186/246/297/27/87/137/167/217/247/298/3End
CloseWMA(20)VWAPSuperTrend

Backtest Performance

Every backtest returns a summary card with computed stats, plus a portfolio view: your strategy's equity curve against buy & hold, with each buy and sell marked. The view dropdown adds drawdown, rolling return, and return distribution charts of the same run.

Start with $10,000. Buy AAPL when RSI(14) drops below 30, sell all when it crosses above 70, over the last 3 years.
AAPL RSI(14) Mean Reversion — 3 Years
⚠️ WeakAug 5, 2023 — Aug 5, 2026 (day)12 tradesTrailing buy & hold by 28.9%
Total Trades12
Wins12/12 (100.00%)
Avg Return8.64%
Total Return54.26%
Max Drawdown-7.57%
Best Trade19.37%
Worst Trade3.04%
Buy & Hold Return83.11%
Unsold Units0
Total Profit$5,425.57
Peak Profit$5,425.57
Days Since Last Buy44
Days Since Last Sell24
Buys Skipped (out of cash)1

Portfolio Performance (AAPL)
The strategy's total value over time — positions plus cash after every buy and sell, next to a buy-and-hold benchmark when one is available.
Options
19.3k17.2k15.1k13.0k10.9k8745
Start8/188/319/149/2710/1010/2311/311/1611/3012/1312/271/101/242/62/203/43/153/284/114/245/75/206/36/146/287/127/258/78/209/39/169/2710/1010/2311/511/1812/212/1312/271/131/272/72/213/63/194/14/144/285/95/226/56/187/27/167/298/118/229/59/1810/110/1410/2711/711/2012/412/1712/311/141/282/102/243/93/204/24/164/295/125/266/86/227/67/177/30End
StrategyBuy & Hold

Portfolio Allocation

For strategies that move money between assets, the allocation view shows exactly what the portfolio held on every day — each position as a colored band plus cash, in dollars or as a percent of equity.

When SPY closes below its 200-day SMA, sell it all and rotate the proceeds into TLT. Rotate back into SPY when it recovers above the 200-day. Last 5 years, starting with $10,000.
Portfolio Allocation (SPY/TLT)
How the portfolio's value was split between each holding and cash on every day of the run.
Options
$122577.4B$91933.1B$61288.7B$30644.4B$0
Start8/269/1710/810/2911/1912/131/41/262/163/103/314/225/136/66/287/208/108/319/2210/1311/311/2512/161/102/12/233/164/64/285/196/127/57/268/169/79/2810/1911/912/112/221/172/72/293/214/125/35/246/177/107/318/219/1210/310/2411/1412/612/301/232/133/73/284/215/126/36/257/178/78/289/1910/1010/3111/2112/151/71/292/203/134/64/275/186/97/17/23End
Cash TLT SPY

Correlation Matrix

Any multi-symbol result includes a correlation matrix: how closely each pair of series moved together, from +1 (lockstep) to −1 (opposite).

When SPY closes below its 200-day SMA, sell it all and rotate the proceeds into TLT. Rotate back into SPY when it recovers above the 200-day. Last 5 years, starting with $10,000.
Correlation Matrix
How closely each pair of series moved together: +1 moves in lockstep, 0 unrelated, −1 moves opposite.
Options

Monthly Returns Heatmap

One cell per month, one row per year, with a YTD column — green for gains, red for losses. Backtests show the strategy's monthly returns; plain price requests show the symbol's.

Show me SPY's price history over the last 4 years
SPY Monthly Heatmap
One cell per month, one row per year, with a year-to-date column. Green is a gain, red is a loss, gray is flat.
Options

Treasury Yield Curve

Treasury data adds a yield curve view: today's curve across all maturities over earlier snapshots for context. Short rates above long ones mean the curve is inverted.

Plot the 2-year and 10-year treasury yields over the last 3 years. Is the curve inverted today?
Treasury Yield Curve
Treasury yields across maturities, shortest to longest. Today's curve sits over earlier snapshots; short rates above long ones mean the curve is inverted.
Options
2026-08-05 1M ago 6M ago 1Y ago

Bar Charts

Quarterly or annual fundamentals render as grouped bars — revenue next to net income, loss quarters dropping below the zero line.

Show me Apple's revenue and net income by quarter for the last 3 years
AAPL Revenue & Net Income by Quarter (2023-09-30 – 2026-06-27)
Bars compare values across periods or categories; bars below the center line are negative.
Options
Revenue Net Income

Scatter Plots

Screener results plot one dot per company, placed by any two metrics — a quick read on how a universe of stocks clusters.

Screen for technology stocks with market cap over $100 billion and show me a scatter chart of beta versus market cap, one dot per company
Screener screener — Market Cap vs Beta
Each dot is one row of the data, placed by the two metrics on the axes.
Options