CTO · Crude Oil
⚠ Mixed SignalsAction
WATCH
Strength
🔴 Avoid
Success Chance
36%
Risk
Medium
AI Confidence
36%
- ✓ Crude Oil Market Analyst:
- ✓ Options Analyst: 0 open
- ✓ News Analyst — unavailable:
Elite Opportunity Engine
Range-boundD
★☆☆☆☆
Ignore
18/100
AI Agreement 50% · 1 of 2 AI employees agree
Why AI likes this trade
- ✅ Risk Manager: 0 live positions across equity + options. Risk inputs: volatility/VIX, open exposure, market read — News excluded (unavailable).
Top risks
- ⚠ Risk Manager: 0 live positions across equity + options. Risk inputs: volatility/VIX, open exposure, market read — News excluded (unavailable).
Why not rated higher?
- • Weak volume participation
- • Conflicting signals across AI employees
- • Thin / missing scan data
Not enough history yet to compare this setup.
Quality Gate scores
- Trend AI: 45
- Options AI: 45
- News AI: 45
- Global AI: 44
- Risk AI: 93
- Research AI: 45
- Portfolio AI: 45
- Sector AI: 50
- Correlation AI: 52
- Evidence AI: 82
- 🚩 Weak volume participation (−8)
- 🚩 Conflicting signals across AI employees (−12)
- 🚩 Thin / missing scan data (−10)
🔮 AI Market Prediction
Crude Oil · CommodityDirection
WAIT
Confidence
21%
Grade
WAIT Wait for clarity
Signal Alignment
1/3 (33%)
Regime
Range-bound
Risk · Timeframe
Medium · 1–3 sessions
Signals conflict — 1 bullish vs 0 bearish of 3 groups. Waiting for clarity. Signal is not yet actionable — no confirmed directional setup, so no entry, stop or targets are published.
- ⚪Price & Candles — data unavailable
- ⚪Options (OI/PCR/IV) — data unavailable
- ⚪India News & Events — data unavailable
- 🟡Global Markets — neutral (45%)
- 🟢Sector — Commodity — bullish (52%)
- 🟡Risk & Regime — neutral (85%)
Why?
- ✅ Risk Manager: 0 live positions across equity + options. Risk inputs: volatility/VIX, open exposure, market read — News excluded (unavailable).
Risks
- ⚠ Risk Manager: 0 live positions across equity + options. Risk inputs: volatility/VIX, open exposure, market read — News excluded (unavailable).
Invalidation: Invalidate on mixed-market resolution against side; stand aside until alignment.
Unavailable data: Price & Candles, Options (OI/PCR/IV), India News & Events
🧠 2-Year Pattern Memory
Historical Matches: 0Pattern memory is building. Similar-situation evidence appears once history accumulates.
Trade Plan
Swing · 1–3 sessionsInvalidate on mixed-market resolution against side; stand aside until alignment.
S/R context: S/R unavailable from live data
Mixed Market — plan is informational; execution paused.
📰 India News & Events — unavailable (no fresh news returned). Excluded from direction, confidence and risk everywhere.
Why?
⚠ Mixed Signals for Crude Oil — spread 40. Holding off on Buy/Sell.
Biggest impact: Risk Manager (Buy @ 85)
- Crude Oil Market Analyst: Neutral @ — · 0 BUY across 0 scanned.
- Options Analyst: Wait @ — · 0 open option legs; 0 cached AI chain reports.
- News Analyst — unavailable: Neutral @ — · Unavailable — no fresh news returned. News contributes no direction, no confidence and no risk.
- Global Market Intelligence: Neutral @ 45 · Global cues (intraday) — GIFT Nifty, DXY, USDINR, crude, US yields.
- Risk Manager: Buy @ 85 · 0 live positions across equity + options. Risk inputs: volatility/VIX, open exposure, market read — News excluded (unavailable).
- Research Analyst: Wait @ — · Historical Pattern Engine — coming soon.
- Portfolio Manager: Review @ — · No advisor run yet.
Correlations
- Crude ↔ Inflation · Softer crude eases CPI.(+3)
- Crude ↔ USDINR · Higher crude typically weakens INR (importer cost).(+2)
- Gold ↔ USD · Risk-on — gold on backseat.(+1)
Top reasons
- Crude Oil Market Analyst: 0 BUY across 0 scanned.
- Options Analyst: 0 open option legs; 0 cached AI chain reports.
- News Analyst — unavailable: Unavailable — no fresh news returned. News contributes no direction, no confidence and no risk.
Top risks
- Risk Manager: 0 live positions across equity + options. Risk inputs: volatility/VIX, open exposure, market read — News excluded (unavailable).
Not Buy: opposing evidence is weaker (Risk Manager: 0 live positions across equity + options. Risk inputs: volatility/VIX, open exposure, market read — News excluded (unavailable).).
Evidence Report
Conflicting opinions
- Global Market Intelligence: Neutral @ 45
Top positive factors
- Risk Manager: 0 live positions across equity + options. Risk inputs: volatility/VIX, open exposure, market read — News excluded (unavailable).
Top risks
- None material.
Missing data: Crude Oil Market Analyst, Options Analyst, News Analyst — unavailable, Research Analyst, Portfolio Manager
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