Edgewise walks every trade bar-by-bar on real minute candles — exact MAE/MFE, capture, and how the setup actually behaved — then replays it under complete playbooks to show the money you left on the table. And it reads the market: a live earnings pulse and the pre-market gap-up phase, graded and honest. Far more than the P&L your broker shows.
The goal: close the loop between what you did, what would have worked, and what's setting up next — one honest workspace where discipline compounds.
Every entry, pyramid and exit stays connected — walked bar-by-bar on real minute candles, not estimated.
Each trade is replayed under complete playbooks, so you see the exact money a better exit would have made.
Grades, verdicts and the market pulse are only ever real data — “unknown” is a valid answer, never a fabricated one.
A journal only records the past. Edgewise reconstructs every trade bar-by-bar, replays it under better rules, grades your discipline, watches your live risk, and reads the market ahead — earnings graded honestly and pre-open gap-ups ranked. One workspace for the whole loop, not a spreadsheet you fill in after the fact.
Most journals guess MAE/MFE from your entry & exit. Edgewise walks the actual intraday price path of every trade, bar by bar, so the drawdown you really survived and the peak you really left behind are measured, not approximated.
The moment a position is on, watch your open heat — what you lose if every stop hits, in ₹ and % of capital — plus how much booked profit you could still give back. Manage risk before it hurts, not after.
Replay your real trades under complete playbooks — a stop, a move-to-breakeven, a profit target — with your actual risk always respected. See the honest P&L and the money left on the table.
Edgewise isn't only your past — it reads what's coming. A live earnings pulse fetches every result the moment it's filed, pulls the real QoQ & YoY, reads the concall transcript, and grades each one A+ → D — real growth vs a flattered low base, margins, acceleration. Then the pre-market gap-up phase surfaces tomorrow's movers, ranked by genuine catalyst, not noise.
Real-time NSE subscription × (QIB / retail / overall), sector classification, post-listing liquidity, ValuePickr forum sentiment from actual posts — and direct links to chittorgarh for the GMP. Upcoming IPOs with their price band + dates, all in one dashboard.
Not a wall of numbers — Edgewise surfaces the single highest-impact change from your own data: exiting winners too early, entries too extended, or riding losers too long.
For every stop-out: how much further it fell, how high it bounced, and how many days it took to climb back above your entry. Know whether your stops cut genuine losers or the moves that would've worked.
Real MAE, MFE and capture on every trade — bar-by-bar from actual candles. Was the process sound, regardless of the result?
Trades that ran your way but you exited red — exactly how much profit you handed back.
Tag each setup & psychological leak; rolled up so you see what makes money and what costs you.
P&L as a month calendar and a weekday × hour heatmap — see exactly when you trade best.
No vanity dashboard. We show the few numbers that actually change how you trade — expectancy, R-distribution, the leak that's costing you most — and hide the noise every other journal buries you in.
Connect once — trades sync at end of day, or upload a tradebook CSV. Never duplicated.
Every trade encrypted at rest; your broker login stays on the broker's own site.
Email or Google — free, no card.
Link your broker, or drop in your tradebook CSV.
MAE/MFE, compliance, heatmaps and the leak — instantly.
A 30-second check-in builds the streak — and the habit.
Stop remembering trades. Start studying them — and let discipline, not luck, compound your account.