SOLVING THE COMPLEXITY OF MARKETS
EdgeTools is a quantitative research firm developing precision Pine Script indicators for systematic traders.
We bridge academic finance and practical execution - built for those who approach markets through data.
TECHNICAL TO THE CORE
We implement peer-reviewed financial research as actionable trading tools. Each indicator deploys tested, institutional-grade models:
• Monetary policy transmission and yield curve dynamics
• Volatility regime classification via statistical learning
• Intermarket correlation structures from empirical studies
• COT positioning analysis with behavioral finance integration
These are not chart decorations. They are engineered models - robust, interpretable, and grounded in measurable market phenomena.
RESEARCH-BACKED. PROBLEM-FOCUSED.
We don't build indicators for aesthetics. We solve defined trading challenges.
Every model targets documented market inefficiencies, maintained through rigorous implementation - from academic hypothesis to code in Pine Script.
EdgeTools serves traders who demand evidence over opinion, signal over noise. We don't write code. We engineer insight.
EdgeTools. Data - Research - Edge
CHF178.50/year
FUNDAMENTAL ANALYSIS FOR EUR/USD MARKETS Transform your EUR/USD trading with institutional-grade fundamental analysis. AEMM PRO is the first indicator to integrate 17 years of peer-reviewed academic research into a practical TradingView tool specifically designed for the world's most traded currency pair. KEY FEATURES: • 9-Component Fundamental Analysis: Interest Rate Differentials, Economic Growth, Inflation, Central Bank Policy, Capital Flows, Risk Sentiment, Current Account Balance, Political Factors, Market Momentum • Standard Interpretation: High values = EUR Strength, Low values = USD Strength (intuitive directional logic) • Adaptive Momentum Integration: Revolutionary momentum component that adjusts weights during strong market moves • Dynamic Regime Detection: Automatically identifies Risk-On, Risk-Off, Divergence, Convergence, and Momentum market conditions • Multi-Complexity Levels: Simple (4 components) to Research (9 components) modes with adaptive weighting • Real-Time Economic Data Integration: Fed/ECB policy, GDP, inflation, trade balance, geopolitical stress PROVEN PERFORMANCE: ✓ Superior directional accuracy vs. technical indicators for EUR/USD ✓ Early policy divergence detection (2022-2024 validated) ✓ Enhanced risk-adjusted returns in trending markets ✓ Reduced lag during momentum phases PROFESSIONAL APPLICATIONS: • FX Trading: Professional EUR/USD position guidance • Portfolio Management: Dynamic currency exposure optimization • Risk Management: Early regime change detection for hedging • Institutional Strategies: Banks, hedge funds, asset managers, central banks SCIENTIFIC FOUNDATION: Based on research from Taylor & Taylor (PPP theory), Engel & West (present value models), Rossi (fundamental predictability), Fratzscher (ECB policy effects), and Federal Reserve studies. Proprietary algorithms synthesize complex fundamental relationships into clear, actionable EUR/USD signals with 2025 momentum enhancements. BREAKTHROUGH INNOVATION - MOMENTUM INTEGRATION: Unlike static fundamental models, AEMM PRO features adaptive momentum weighting that increases responsiveness during strong market moves while maintaining fundamental foundation. Dynamic threshold adjustment prevents late signals during trending markets. EASY INTEGRATION: • TradingView native indicator • Customizable alerts and dynamic thresholds • Multi-timeframe analysis support (Daily recommended) • Professional analytics dashboard with component breakdown • 8 professional color themes including Currency, EdgeTools, European themes UNIQUE ADVANTAGE: Unlike technical indicators that show what happened, AEMM PRO reveals WHY EUR/USD moves by analyzing the fundamental forces that drive the world's most liquid currency pair. The adaptive weighting system captures both fundamental shifts and momentum dynamics. TARGET USERS: • Professional FX traders seeking fundamental edge • Central banks and institutional forex desks • Hedge funds requiring systematic EUR/USD analysis • Portfolio managers with EUR/USD exposure • Academic researchers studying exchange rate dynamics COMPETITIVE DIFFERENTIATOR: Replaces expensive institutional FX research with real-time, systematic fundamental analysis. Proprietary calculation methods and momentum integration ensure sustained predictive advantage while maintaining accessibility through TradingView platform. ENHANCED FEATURES: • Adaptive momentum weighting during strong moves (up to 40% weight) • Dynamic threshold adjustment based on volatility regimes • Enhanced regime detection including "Momentum" regime • Multi-timeframe momentum analysis with composite scoring • Improved uncertainty quantification with momentum volatility • Real-time responsiveness while maintaining fundamental foundation Transform your EUR/USD analysis from reactive technical signals to proactive fundamental insights with momentum-aware adaptability. Join institutional traders using AEMM PRO for superior market timing and risk management in the world's most important currency pair.
CHF139.50/year
SENTIMENT ANALYSIS FOR MARKET PSYCHOLOGY Transform your market timing with institutional-grade sentiment analysis. AFGM is the first indicator to integrate comprehensive behavioral finance research into a practical TradingView tool, providing systematic emotional intelligence for market participants. KEY FEATURES: • 7-Component Sentiment Analysis: Stock Momentum, Price Strength, Market Breadth, Options Activity, Volatility Patterns, Safe Haven Flows, Credit Risk Assessment • Multi-Profile System: Conservative, Standard, Aggressive, and Custom calibrations for different trading approaches • Advanced Normalization Framework: Robust min-max scaling with outlier handling over customizable lookback periods • Dynamic Regime Detection: Automatically identifies Extreme Fear, Fear, Neutral, Greed, and Extreme Greed conditions • Real-Time Behavioral Data Integration: Put/Call ratios, breadth indicators, volatility term structure, credit spreads PROVEN PERFORMANCE: ✓ Superior contrarian signal accuracy vs. traditional sentiment indicators ✓ Early regime change detection for optimal market timing ✓ Enhanced risk-adjusted returns through behavioral insights ✓ Reduced emotional trading through systematic sentiment framework PROFESSIONAL APPLICATIONS: • Contrarian Trading: Systematic buy/sell signals based on extreme sentiment readings • Market Timing: Strategic entry/exit points using crowd psychology dynamics • Risk Management: Early warning system for sentiment-driven market reversals • Portfolio Allocation: Dynamic position sizing based on market emotional state SCIENTIFIC FOUNDATION: Based on research from Baker & Wurgler (investor sentiment theory), Da, Engelberg & Gao (behavioral asset pricing), and established behavioral finance literature. Proprietary algorithms synthesize complex psychological market dynamics into clear, actionable sentiment classifications with proven contrarian effectiveness. EASY INTEGRATION: • TradingView native indicator with professional dashboard • Customizable alerts for all sentiment regime transitions • Multi-language support (English/German) with cultural adaptations • Professional color themes optimized for different trading environments UNIQUE ADVANTAGE: Unlike simple fear/greed gauges, AFGM provides comprehensive sentiment analysis across all major market dimensions. The multi-component approach captures nuanced psychological shifts that single-metric indicators miss, while advanced normalization ensures consistent signals across different market cycles. TARGET USERS: • Professional traders seeking systematic sentiment edge • Behavioral finance researchers studying market psychology • Portfolio managers requiring contrarian timing tools • Retail traders wanting institutional-quality sentiment analysis • Risk managers monitoring emotional market extremes COMPETITIVE DIFFERENTIATOR: Replaces expensive institutional sentiment research with real-time, systematic analysis. Proprietary multi-component framework and dynamic calibration provide sustained analytical advantage while maintaining accessibility through TradingView platform. Advanced behavioral insights previously available only to major institutions. Transform your market analysis from emotional guesswork to systematic sentiment intelligence. Join thousands of traders using AFGM for superior contrarian timing and behavioral market insights.
CHF213.50/year
REVOLUTIONARY FUNDAMENTAL ANALYSIS FOR GOLD MARKETS Transform your gold trading with institutional-grade fundamental analysis. AGMM is the first indicator to integrate 15 years of peer-reviewed academic research into a practical TradingView tool. KEY FEATURES: • 8-Component Fundamental Analysis: Monetary Policy, Currency Effects, Central Bank Demand, Inflation, Investment Flows, Mining Supply, Jewelry Demand, Risk Environment • Contrarian Logic Framework: Low values = Bullish Gold (reflecting gold's safe-haven nature) • Dynamic Regime Detection: Automatically identifies Crisis, Bull, Bear, and Neutral market conditions • Multi-Complexity Levels: Simple (2 components) to Research (8 components) modes • Real-Time Economic Data Integration: Fed policy, central bank actions, geopolitical stress PROVEN PERFORMANCE: ✓ Superior directional accuracy vs. technical indicators ✓ Early crisis detection (2008, 2020 validated) ✓ Enhanced risk-adjusted returns ✓ Reduced maximum drawdowns PROFESSIONAL APPLICATIONS: • Swing Trading: 2-8 week position guidance • Portfolio Allocation: Dynamic gold weighting • Risk Management: Early regime change detection • Institutional Strategies: Hedge funds, family offices, asset managers SCIENTIFIC FOUNDATION: Based on research from Baur & Lucey (safe haven properties), Reboredo (dollar-gold nexus), Beckmann (regime switching), and World Gold Council (central bank revolution). Proprietary algorithms synthesize complex fundamental relationships into clear, actionable signals. EASY INTEGRATION: • TradingView native indicator • Customizable alerts and thresholds • Multi-timeframe analysis support • Professional dashboard with component breakdown UNIQUE ADVANTAGE: Unlike technical indicators that show what happened, AGMM reveals WHY gold moves by analyzing the fundamental forces that drive price action. The contrarian interpretation framework captures gold's inverse relationship with traditional risk assets. TARGET USERS: • Professional traders seeking fundamental edge • Portfolio managers requiring systematic gold allocation • Retail traders wanting institutional-quality analysis • Academic researchers studying gold market dynamics COMPETITIVE DIFFERENTIATOR: Replaces expensive institutional research with real-time, systematic fundamental analysis. Proprietary calculation methods ensure sustained predictive advantage while maintaining accessibility through TradingView platform. Transform your gold market analysis from reactive technical signals to proactive fundamental insights.
CHF213.50/year
INSTITUTIONAL-GRADE RISK SENTIMENT ANALYSIS FOR PROFESSIONAL TRADERS Transform your market timing with sophisticated risk appetite measurement. ARAI is the first indicator to integrate advanced multi-asset risk sentiment analysis into a practical TradingView tool, providing institutional-quality insights previously available only to major financial institutions. KEY FEATURES: • 6-Component Risk Analysis: Credit Spreads, Volatility Complex, Cross-Asset Momentum, Currency Risk, Safe Haven Flows, Term Structure • Dynamic Regime Detection: Automatically identifies Risk-On, Risk-Off, Neutral, and Crisis market conditions • Crisis Mode Calibration: Enhanced sensitivity during market stress periods with liquidity proxy integration • Professional Color Themes: 8 sophisticated themes (Gold, EdgeTools, Behavioral, Quant, Ocean, Fire, Matrix, Arctic) • Real-Time Market Data Integration: Credit markets, volatility indicators, currency flows, commodity ratios PROVEN PERFORMANCE: ✓ Superior regime change detection vs. traditional sentiment indicators ✓ Early crisis identification with enhanced liquidity stress monitoring ✓ Improved risk-adjusted portfolio returns ✓ Reduced drawdowns during market transitions PROFESSIONAL APPLICATIONS: • Portfolio Management: Dynamic risk allocation and exposure adjustments • Systematic Trading: Risk-regime based strategy switching • Risk Management: Early warning system for market stress • Institutional Strategies: Hedge funds, asset managers, family offices SCIENTIFIC FOUNDATION: Based on advanced risk appetite methodologies used by major investment banks and central banks. Proprietary algorithms synthesize complex cross-asset relationships, liquidity conditions, and stress indicators into clear, actionable risk regime classifications. Enhanced with institutional-grade liquidity proxy indicators for comprehensive market stress detection. EASY INTEGRATION: • TradingView native indicator with professional dashboard • Customizable alerts for all risk regime transitions • Multi-timeframe analysis support • Component breakdown visualization for deep insights UNIQUE ADVANTAGE: Unlike simple VIX-based fear indicators, ARAI provides comprehensive risk sentiment analysis across all major asset classes. The multi-component approach captures complex market dynamics that single-metric indicators miss, while crisis mode detection offers enhanced sensitivity during critical market periods. TARGET USERS: • Professional traders requiring systematic risk assessment • Portfolio managers needing dynamic risk allocation tools • Hedge funds seeking regime-based strategy switching • Risk managers requiring early warning systems • Institutional analysts studying market risk dynamics COMPETITIVE DIFFERENTIATOR: Replaces expensive institutional risk sentiment services with real-time, systematic analysis. Proprietary crisis detection algorithms and liquidity proxy integration provide sustained analytical advantage while maintaining accessibility through TradingView platform. Advanced regime classification superior to basic sentiment indicators. Transform your market analysis from reactive sentiment tracking to proactive risk regime identification. Join institutional-level traders using ARAI for superior market timing and portfolio management.