MONEY DIPLOMATIC
Real-time institutional analysis, market data, and decision-support tools used by professional traders, portfolio managers, and research desks worldwide.
A quick overview of how our platform empowers traders with institutional-grade tools and real-time intelligence.


















































Complete toolkit for institutional-grade FX analysis, macro research, and risk management.
Institutional-grade daily analysis with key levels, technical bias, and actionable trade scenarios for G10 currencies.
Central bank rate probabilities derived from futures markets. Track Fed, ECB, BOE, BOJ and 5 other banks.
Professional trading terminal with Highcharts, depth of market, and coverage of FX, CFDs, and CME futures.
Curated research from Goldman Sachs, JP Morgan, Citi, and other top investment banks with bias tracking.
CFTC Commitments of Traders data with historical charts, net positions, and positioning extremes.
VaR calculations, volatility metrics, correlation matrix, and drawdown analysis for risk management.
Professional trade logging with P&L tracking, risk metrics, and performance analytics.
Real-time chat with professional traders, market commentary, and trade ideas sharing.
Each module on our platform is designed to help you develop the key competencies used by professional trading desks: macro analysis, flow reading, risk management, and market positioning awareness.
Instead of spending hours sifting through dozens of reports, you gain access to a structured synthesis: which desks are buying or selling, where risks are concentrated, and which macro catalysts could invalidate a scenario.
Learn to structure your central bank reading, economic cycles, and key releases to build clear market scenarios like a macro desk.
Identify where retail orders and stops are concentrated using positioning data, liquidity zones, and recurring market behaviors.
Use leading indicators (PMI, surveys, economic surprises) to prepare for major releases and adjust your bias before the number.
Learn to smooth your equity curve using volatility, correlation, and hedging strategies inspired by institutional practices.
Put elections, sanctions, conflicts, and international agreements in perspective to calibrate your position sizing and risk scenarios.
Analyze COT data, bank research, and futures flows to understand where large market participants are actually positioned.
Structure your trade and portfolio risk with VaR tools, correlations, and stress tests similar to those used by financial institutions.
Based on 247 reviews
"Finally a platform that aggregates institutional research in one place. The interest rate pricing tool alone is worth the subscription. Excellent for macro traders."
"The COT analysis and positioning data have completely changed how I approach my swing trades. Professional-grade tools at a fraction of Bloomberg's cost."
"Great value for the price. The Risk Lab and track record features help me maintain discipline. Trading room community is active and insightful."
Start with a 7-day free trial. Full platform access. Credit card required, no charge until day 8.
€0 today • €179 after trial
~€149/month • Save €358/year
€0 today • €1,790 after trial
For institutions & teams
Custom pricing available