Taronzo Markets
Inside Taronzo Terminal

A closer look at the tools behind each decision.

Explore the workspaces, controls, research tools, and diagnostics available across analysis, execution, strategy development, portfolio review, and exposure management.

Taronzo Terminal · Capabilities
Latency: 12ms
ETH/USDO: 3120.4 H: 3180.2 L: 3090.1 C: 3150.8
M5
M15
H1
Order Entry
Limit
Market
Size25.00
BUY
SELL
AI Signal
Momentum
Breakout Prob: 84%
01ANALYZE

Structure analysis without moving between disconnected views.

Consolidate price data, order-book context, footprint visualization, and AI-driven regime scoring into a single analytical workspace.

  • Market Structure

    Visualize real-time liquidity dynamics across multiple venues and timeframes.

  • Regime Context

    AI models score breakout probabilities and classify underlying market conditions.

Order Book Depth
02DECIDE

Review model output without treating automated analysis as certainty.

Examine confidence scores, supporting context, and the reasoning behind each signal before acting on any recommendation.

  • Confidence Scoring

    Understand the strength and limitations of each model-generated signal.

  • Supporting Context

    Review the data and conditions that contributed to each analytical output.

Order Routing
TWAP ExecutionActive
Trailing StopDistance: 1.5%
OCO GridPending
03EXECUTE

Configure orders, attach protection, and monitor position state.

Build orders with pre-trade constraints, attach protection levels, and review open exposure from one operational view.

  • Structured Routing

    Deploy TWAP, VWAP, and trailing stop strategies with configurable parameters.

  • Pre-Trade Checks

    Orders validate against account-level exposure limits before submission.

Backtest Engine
2021-2023
1H Candles
Running
04RESEARCH

Develop, test, and compare structured trading ideas.

Build strategy logic in a sandbox, backtest against historical data, and compare performance across versions before committing capital.

  • Strategy Versions

    Manage variations of trading logic with full historical comparison.

  • Stress Testing

    Replay market data to observe how strategies behave under adverse conditions.

Attribution
Sharpe Ratio
2.14
Max Drawdown
-8.4%
05PROTECT

Set exposure limits, modes, and portfolio-level boundaries.

Define maximum drawdown, asset concentration, trading modes, directional restrictions, and cooldown periods that persist across sessions.

  • Operating Modes

    Restrict new entries or enforce cooldowns after predefined loss thresholds.

  • Portfolio Boundaries

    Set cross-asset limits that persist regardless of which workspace is active.

Risk Controls
Global Exposure Limit85% Utilized
Asset Concentration22% / 25%
Drawdown Killswitch-4.2% / -5.0%