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Insider buys, big funds, politicians, fundamentals, momentum & seasonality — 13 data layers across 17,000+ stocks fused into one A++–F score. See the whole picture, not fragments — decide on data, not gut feel.
Register → 30 days of full Elite, free. No card.
No guesswork. A consistent analytical workflow: discover → analyze → compare → validate → monitor → document → learn. All in one tool.
The screener and 5-pillar score filter 17,000+ stocks. And you don’t have to rely on the score alone — 12+ data-event & monitoring categories (insiders & clusters, unusual options, squeeze, earnings beats, textbook patterns, confluence…) surface even more research candidates matching selected criteria, without manual hunting.
The A++–F composite and 5 pillars show how strong the story is — value, momentum, smart money, sentiment, catalysts. For each data category you also see its forward-measured track record — what actually worked, not just promises.
See what insiders, big funds (13F), Congress, dark pools and options are doing — whether independent data layers align.
Historical price-context ranges, seasonal windows and market regime give you context on whether model conditions are becoming more active now — or still quiet. Descriptive, no guaranteed outcome, not a trade instruction.
Set your price bands and scenario thresholds with a Stop Alert (a notice only — it never auto-sells) and get pinged on moves.
The investment journal, performance view and Research Review Assistant show you what works and help you improve.
QMA then watches your positions and alerts you to a holding drop, negative news or over-concentration (rebalance). You decide — QMA only informs.
Not a mechanical rules-bot. It’s an autonomous, thinking AI agent.
A classic robot blindly follows fixed rules. QMA Brain instead reasons in plain language: it researches the whole platform itself — fundamentals, technicals, smart money, insiders, options, news, macro and market regime — forms its own view, and above all explains WHY. It keeps a memory across the platform and continuously scores how its own predictions turn out.
A real-time experiment, watchable from anywhere in the world. It trades with virtual money (paper) — for research and education, NOT investment advice.
Simulated portfolio (paper money). For research and education — NOT investment advice.
QMA computes intrinsic value with several methods (DCF, P/E, P/B, dividend model) and gives one clear verdict — undervalued, fair, or overvalued. You instantly see whether it makes sense, and why.
Insider buys, big funds (13F), US politicians, dark pool and options — QMA fuses them into one conviction. When data layers align, you see it instantly.
Ask in plain words — QMA summarizes a stock, explains moves and compares. Plain-language, even for total beginners. Descriptive, not a trading instruction.
No jargon. Here's what you actually get — even if you're just starting out.
Paste your holdings and instantly see a free 0–100 score: diversification, quality, risk, correlation.
No signup. No wall.
See how the past would've played out — $10k in NVDA 10 years ago, what would you have today (vs the index).
Pro: 20y of prices + 1y strategy replay.
No need to read a balance sheet. QMA scores 17,000+ stocks daily and grades each from A++ to F — you instantly see what's worth a look.
Pro: 13 sub-scores, regime-aware weights.
Company insiders, US politicians and big funds leave tracks. QMA follows them and shows you in one place.
Pro: insider cluster + Congress + dark pool + options + 13F, bidirectional.
The flagship model, Top Kompozit, is live forward-tracked since 18 Feb 2026 (~5 months): +9.1% vs S&P 500 +10.3% (−1.3pp), ahead in 4 of 6 months. Very short history, one market regime. Past performance ≠ future results. You follow it month by month. An analytical simulation, not trading instructions.
Special configuration: large US firms (major exchanges, top-percentile Composite), monthly rebalance of the top 20 — not a raw Screener sort. Past ≠ future.
We surface small firms whose data shows characteristics historically associated with strong growth — including the moment a firm first turns profitable.
Pro: empirical scoring + inflection + macro overlay. Filters: mcap sweet-spot, drawdown below the 12-month high, insider cluster.
Log your trades and QMA computes profit, Czech tax, and shows where you slip up. Ready for filing.
Pro: trade import (CSV), MFE/MAE, §10 Excel+PDF export.
Everything is explained plainly, with a tooltip on every technical term. Setup takes minutes.
Pro: switch to full mode anytime.
QMA is an analytical and educational tool, not a licensed investment adviser. We describe what data and strategies did — you make the decisions. Past performance does not guarantee future results.
Institutional-grade data — insiders, dark pool, 13F, options — decoded into clear analytical observations, in one place. Skip 50 browser tabs.
Wake up knowing where to look — your 3 top-ranked research candidates are ready at 06:00 UTC, each with the reasoning, risk context, and overnight news that explains it. Built by scoring the entire 7,700-stock universe across all 13 factors — a shortlist prepared before the trading day, built on the latest daily data.
See which executives are betting their own money on their company — the strongest tell a beginner can follow. We pull every SEC Form 4, score each buy for conviction, flag clusters of insiders buying together, and weight by how fresh the filing is. Finviz shows you a raw feed; QMA tells you which buys actually matter.
Track institutional-style flow — accumulation vs distribution. We fuse five institutional indicators — FINRA dark-pool prints, SEC insider buys, congressional STOCK Act trades, unusual options flow, and 13F filings — into one bidirectional 0–100 score that tells you whether smart money is quietly accumulating or distributing. Beginners read one clear number; pros drill into every layer. No retail screener does this.
Never wonder 'why is this moving?' again. Each morning an AI radar sweeps the market for accumulation, distribution, sector rotation, and macro shifts, then explains what changed overnight in plain language. It connects dots across data sources a human couldn't scan in a day — so you understand rotation early.
Understand each stock's historical timing windows. QMA maps each stock's recurring calendar windows from 10+ years of price history and flags only the ones a t-test marks as statistically notable (≈ p < 0.05, in-sample). These are backtested historical patterns, not predictions — but they let you study how a stock has historically behaved inside those windows, instead of going on gut feel.
Never miss the moment a rating changes. The instant a stock's QMA grade upgrades or its smart-money confluence flips bullish, you get a push and email — so you see the change while it's still fresh instead of finding it days later. It's like having a research desk watching your whole watchlist 24/7.
Ask the market a question in plain English — "stocks before earnings with improving momentum scores" — and get a real answer in seconds. The assistant fuses live web search with your own QMA scores and institutional data, doing in one query what would take hours of manual screening. Research like an analyst without learning an analyst's tools.
Track short-squeeze conditions: FINRA failure-to-deliver, dark-pool DPI, short interest and momentum in one score. Most screeners show short interest alone; QMA shows the full pressure picture.
Most screeners drown you in hundreds of stocks and leave you to guess.
QMA ranks the whole market by institutional-style data layers and surfaces a smaller research shortlist for your own review.
One letter grade tells you a stock's quality at a glance — A++ to F — so you never have to weigh a dozen metrics yourself. Under the hood, every stock is scored across 5 super-pillars built from 13 factors covering value, momentum, smart money, sentiment, and catalysts — the same dimensions institutional desks weigh, fully transparent so pros can audit every input. Beginners get one number; advanced traders get the whole engine.
Know a stock's best and worst calendar windows from 10+ years of history — t-test-flagged, backtested, in-sample (not a prediction)
Pressure-test any idea risk-free before a cent is on the line — paper-trade and backtest with no live orders
An analytical view of your holdings — see concentration and risk in the data. Descriptive, not portfolio management or advice.
See how an idea would have behaved across years of real market history — with its assumptions and limits shown
Nothing slips through — institutional-scale coverage of the entire US market, refreshed daily so you work with current end-of-day data
Institution-grade tools — translated into plain language and included in your plan.
We score ETFs and look through to QMA-grade the stocks they hold.
Earnings catalysts, pressure windows and a pre-earnings radar in one place — review scheduled events and how the market has historically reacted to them.
Which executives are buying their own stock with their own money — and how much.
A no-commitment simulation: build a model dividend portfolio and see the payout calendar, yield-on-cost and reinvestment effect. Educational tool, not money management.
Portfolio risk & concentration analysis with alerts — all in one place.
QMA is an analytical and educational tool, not a licensed investment adviser. Past performance does not guarantee future results.
AI Daily Briefing condenses 13 sub-scores · 8 smart money data sources · seasonal + macro overlay into three analytical breakdowns. Model price band, risk level (alert), model comparison ranges, horizon, plain-English thesis. Illustrative, computed from the model price, not an instruction.
UNICORN confluence + insider cluster
Earnings catalyst + dark pool +47%
Congress cluster (3 reps) + breakout
Our flagship model, Top Kompozit, is live forward-tracked with transparent assumptions and limitations (short history, one market regime; past ≠ future). Below it: 12 long-term + 5 swing research methods, each honestly tiered: ✅ live-tracked / ⚠️ experimental / ❌ over-fit. Analytical simulations for research, not trading instructions.
How QMA works, tools, samples and more.
One platform, four ways to use it. Start where it fits you.
Find undervalued companies with strong fundamentals — fair value, quality, portfolio context.
Monitor momentum, smart money, seasonality and catalysts as conditions change.
Explore research models with backtest, t-stat and live forward tracking.
Journal, XTB/eToro import, Czech tax export and reporting.
Start free and pay only for the depth you actually use. No hidden tiers, no add-ons. CZK for Czechia, USD elsewhere.
Register with no payment and no commitment — paid plans go live at the official launch. Early registrants will be first to get them.
Try QMA free — data & overviews, no commitment.
Smart Money detail, insiders, Mega Investors, portfolio & journal.
Stock & ETF analytics, quantitative research, options IV, dark pool, AI brain.
QMA analyzes US stocks and ETFs across 13 institutional-style data factors — one research workspace, not a trading venue.
17,000+ US stocks with 5-pillar scoring
Sector ETFs + thematic funds
Quantum Market Analyzer is in active development (Private Beta). Features, data, and UI may change.
This platform is NOT personalized financial advice and does NOT guarantee profits. All investment decisions are your own responsibility.
By registering, you agree to use the Beta version "as is" and understand that some features are still under development.
Market overview + 1 education piece + a look at one research case. No account.
QMA is an analytical tool, not investment advice. You can unsubscribe anytime with one click.