Data-Driven Traders
Trade With an Edge
25+ years of manually calculated, zero-AI market statistics — backtested across 50+ instruments so you know the probability before you place the trade.
historical data
datasets
Crypto, Indices
calculated & verified
Full statistical coverage across all 7 major pairs and 15 carefully selected minor pairs, giving you edge on the instruments serious traders actually trade.
Every dataset is manually calculated from raw OHLC data — no AI, no interpolation. These are the actual numbers across 25+ years of market history.
What's the probability the next daily candle closes bullish or bearish after N consecutive closes in the same direction? Streak probabilities from 1 to 10+ consecutive candles with historical occurrence counts.
Probability analysis of how often price continues to print a higher high or lower low after N consecutive occurrences — powerful structure-based streak data for confirmation entries.
On bullish days, what's the average pip distance from the daily open to the session high? Used to set realistic take-profit targets and understand upside extension on bullish candles.
Average pip distance between the daily open and close, broken down by bullish and bearish sessions. Tells you how far price typically travels from the open before closing — critical for sizing and targets.
On bearish days, what's the average pip distance from the daily open to the session low? Mirror of the bullish wick data — ideal for stop placement and understanding downside extension.
For each day of the week, what's the probability that the day's high or low holds until Friday's close? Based on percentage-close data — essential for setting unbreakable weekly stops and understanding range extension risk.
Statistical robustness comes from sample size. Every dataset is calculated from the deepest available data — far beyond the industry standard.
Every trading day, know the historical probability of a bullish or bearish close before the market opens — for every pair in your plan.
The calendar displays, for each weekday (Monday–Friday), the historically calculated percentage probability of a bullish close versus a bearish close — broken down per currency pair. Updated every trading day.
- ✓Monday–Friday directional close probability for every pair
- ✓Bullish vs bearish percentage split based on 25+ years of data
- ✓Colour-coded at a glance — green for bullish bias, red for bearish
- ✓Updated daily — current week always reflects live trading days
- ✓Interactive — filter by pair, view historical weeks
Each guide is built directly from the SmartFinanceData statistical datasets — practical, probability-backed strategies you can apply immediately.
A step-by-step strategy guide for identifying and fading extended daily streak runs using the SmartFinanceData consecutive streak probability tables. Includes entry criteria, risk parameters, and historical edge context per pair.
Starter+ · All plansLearn how to use the weekday high/low holding percentage data to place stops beyond levels that are statistically unlikely to be breached — reducing stop-hunts and improving risk-to-reward on every trade.
Starter+ · All plansA third premium strategy guide included with all plans — built from SmartFinanceData probability datasets to give you actionable, statistically-backed trade frameworks.
Starter+ · All plansSimple, Transparent Pricing
No lock-in, no fluff — full access to the data serious traders use. Save 20% with annual billing.
| Feature | Starter | Pro Trader | Elite |
|---|---|---|---|
| Market Coverage | |||
| Forex instruments | 10 pairs | 22+ pairs | 50+ instruments |
| Crypto assets | — | — | |
| Stock Indices | — | — | |
| Commodities | — | — | |
| Analytics Datasets | |||
| Quantified datasets | 40+ | 100+ | 150+ |
| Historical backtest data | 25 years | 25 years | 25 years |
| Daily Probability Calendar | |||
| Chi-square & Z-score filters | — | ||
| Streak analytics | |||
| Session bias (London / NY) | — | Full breakdown | Full breakdown |
| Market structure datasets | — | ||
| Tools & Content | |||
| PDF trading guides | 3 guides | 3 guides | 3 guides |
| MT4/MT5 tools & utilities | — | 7 proprietary indicators | |
| Python trading scripts | — | — | 15 scripts |
| Strategy Builder Suite | — | — | |
| Confluence Scanner | — | — | |
| AI Spreadsheet Analyzer | — | — | |
| Daily 1-hour market analysis | — | ||
| Export & Support | |||
| CSV / JSON exports | — | ||
| Support | Priority email | ||
| Money-back guarantee | 30 days | 30 days | 30 days |
Consecutive bullish/bearish candle probabilities across H1–MN timeframes.
Statistical pip range distributions per session and day of week.
Asian, London, and NY session directional bias with sweep probabilities.
Supply & demand zone validation data, LTF-to-HTF break probabilities.
Daily updated calendar showing high-probability setups.
Equal highs/lows sweep probabilities, large wick reversal stats.
Build and backtest multi-confluence strategies.
10 pro features: watchlist, alert system, heat map, correlation matrix, trade journal.
Edge isn't luck.
It's in the data.
Join traders using SmartFinanceData to validate setups, understand session behaviour, and build probabilistic confidence before every trade.