A Complete Analytical Toolkit for Modern Markets
Every feature in DotZonix is designed to provide structured, transparent, and multi-dimensional market analysis. No black boxes, no proprietary secrets.
Multi-Strategy Engine
The core of DotZonix is a multi-strategy analytical engine that runs 13+ independent modules simultaneously. Each module evaluates a specific aspect of market behavior, ensuring no single methodology dominates the analysis.
Capabilities
- RSI (Relative Strength Index) analysis across multiple periods
- MACD divergence and crossover detection
- EMA/SMA trend alignment across timeframes
- Volume Spread Analysis (VSA) for institutional activity
- Smart Money Concepts (SMC) -- order blocks, fair value gaps, liquidity zones
- Market structure evaluation (swing highs/lows, breaks of structure)
- Support and resistance zone identification
- ATR-based volatility measurement
- Bollinger Band squeeze and expansion detection
- VWAP deviation analysis
- Candlestick pattern recognition
- Breakout detection with volume confirmation
- Momentum and rate-of-change analysis
Confluence Scoring
Rather than relying on a single indicator or strategy, DotZonix measures the degree to which multiple independent analytical conditions agree. This confluence approach reduces false signals and filters out low-quality setups.
Capabilities
- Weighted scoring model based on strategy reliability
- Real-time confluence calculation as new data arrives
- Breakdown of contributing factors per signal
- Configurable confidence thresholds
- Historical confluence accuracy tracking
- Visual confidence indicators with numeric scores
Multi-Timeframe Analysis
Effective trading requires understanding both the broader trend and the specific execution context. DotZonix applies higher-timeframe directional bias to execution-timeframe entries, ensuring trades align with the dominant market direction.
Capabilities
- Higher-timeframe trend determination (Daily, 4H, 1H)
- Execution-timeframe entry identification (15M, 5M)
- Trend alignment filtering
- Structural context from higher timeframes
- Timeframe-specific strategy activation
- Automatic timeframe selection based on instrument volatility
Risk Management
Every signal includes structured risk parameters derived from market volatility and structure. This systematic approach to risk helps maintain consistency and discipline in trade execution.
Capabilities
- ATR-based dynamic stop-loss calculation
- Market structure-aware stop placement
- Multi-level take-profit targets (TP1, TP2, TP3)
- Risk-reward ratio calculation for each setup
- Position sizing recommendations based on risk tolerance
- Maximum drawdown awareness
AI Market Analyst
The AI Market Analyst processes raw analytical data and translates it into clear, natural-language explanations. Instead of presenting only raw numbers, it provides context on why a signal was generated and what conditions are in play.
Capabilities
- Natural language signal explanations
- Market condition summaries
- Risk factor identification
- Key level highlighting
- Strategy contribution analysis in plain English
- Contextual market commentary
Performance Analytics
Track the performance of signals and strategies over time using the built-in analytics dashboard. Understand which strategies perform best under different market conditions and how confluence scores correlate with outcomes.
Capabilities
- Signal outcome tracking (TP hit, SL hit, expired)
- Strategy-level performance breakdown
- Confluence score vs. outcome correlation
- Win rate and risk-reward statistics
- Historical signal browser
- Exportable performance reports
Experience the Full Platform
Get Pro access and explore all features with complete access. Pay by crypto and confirm with the admin.