> ## Documentation Index
> Fetch the complete documentation index at: https://complete-docs-x17s80.allmind.ai/docs/llms.txt
> Use this file to discover all available pages before exploring further.

# Price Analysis

> The market-microstructure and price-action workspace inside a company's Data Viewer — dark pools, venue/volume footprint, the live tape, multi-ticker performance, technical signals, and risk/correlation analytics for US-listed stocks.

Price Analysis is the market-microstructure and price-action workspace inside a company's Data Viewer.
It goes underneath the headline price to show how a stock is actually trading: where large institutions
are quietly executing off-exchange in dark pools, which venues are handling the volume and at which price
levels, the real-time tape of trades and prices, multi-ticker performance comparisons, a full suite of
technical indicators with buy/sell signals and pivot levels, and risk and correlation analytics versus
the broader market and peers. It is built for US-listed securities with full real-time market-data
coverage and is organized into six sections you pick from a row of buttons at the top of the page.

*Find it under **Equities → Price Analysis** for any US-listed company with full real-time market-data
coverage.* Users also call it the "Price Analysis tab," the "market microstructure tab," or "Data Viewer
Price Analysis."

## What it is

Price Analysis is where you study *trading dynamics* rather than fundamentals — how a name is being
bought and sold, not what it earns. Open a US-listed company in the Data Viewer, select **Price
Analysis**, and choose one of six sections from the button row at the top:

* **Dark Pools** — off-exchange (ATS) activity versus price, with growth and trend metrics and a
  consolidated block-trade table, to infer institutional accumulation or distribution.
* **Volume Footprint** — where volume traded by price level (volume profile with the Point of
  Control), buy/sell imbalances, and a venue market-share breakdown.
* **Live Quotes & Trades** — a real-time tape: the latest trades, an OHLCV chart with VWAP, and live
  statistics including buy/sell pressure.
* **Price Change Analysis** — normalized price-performance comparison across many tickers over a custom window,
  with a ranked summary table and Excel/CSV export.
* **Technical Indicators** — a broad indicator library with per-indicator intervals, daily Buy/Sell
  signals and an overall verdict, and pivot-point support/resistance.
* **Risk & Correlation** — risk statistics, correlation discovery, pairwise stability, universe
  rankings, and a portfolio correlation matrix.

Most sections (all except Technical Indicators) can hand their current data to the AI assistant for
interpretation, and Price Change Analysis adds spreadsheet exports. This is the microstructure-and-technicals destination; for general hands-on
charting and markup use the [Chart](/data-viewer/chart) tab, and for fundamentals use
[Financials & Ratios](/data-viewer/financials), [Comps](/data-viewer/comps), or
[Estimates](/data-viewer/estimates).

## When to use it

Reach for Price Analysis when the question is about how a stock is trading rather than what it is worth:

* **Gauge institutional accumulation or distribution** through dark-pool activity and off-exchange share.
* **See where a stock's liquidity sits** across venues and at which price levels (volume profile / Point
  of Control).
* **Watch the live tape and intraday price action**, including buy-vs-sell pressure.
* **Compare the price performance of a basket of tickers** over a chosen window and rank winners and
  losers.
* **Read technical-indicator signals and pivot support/resistance** to time an entry or exit.
* **Assess a stock's risk profile** — volatility, Sharpe, beta, drawdown — and how it correlates with the
  market, potential hedges, diversifiers, or a hypothetical portfolio.

### When to use something else instead

| If you want…                                                                     | Go to                                                                                                                                                           |
| -------------------------------------------------------------------------------- | --------------------------------------------------------------------------------------------------------------------------------------------------------------- |
| **Hands-on charting, drawing tools, and visual markup** of one name              | [Chart](/data-viewer/chart)                                                                                                                                     |
| **Fundamentals** — full statements, segments, adjusted metrics                   | [Financials & Ratios](/data-viewer/financials)                                                                                                                  |
| **Relative valuation** on standardized metrics across a curated peer set         | [Comps](/data-viewer/comps)                                                                                                                                     |
| **Forward consensus and analyst forecasts**                                      | [Estimates](/data-viewer/estimates)                                                                                                                             |
| **Non-price context** — supply chain, IR/events, ESG, filings                    | [Supply Chain](/data-viewer/supply-chain), [Company IR & Events](/data-viewer/investor-relations), [ESG](/data-viewer/esg), [Documents](/data-viewer/documents) |
| The **same price or technical questions answered across many companies at once** | Grids                                                                                                                                                           |
| A **formatted written deliverable** built on the analysis                        | Reports                                                                                                                                                         |

Price Analysis is specifically for microstructure (dark pools, venues, footprint), the live tape,
multi-ticker performance, technical signals, and risk/correlation analytics. The [Chart](/data-viewer/chart)
tab is for general charting and drawing; the fundamentals tabs cover what the company earns and is worth.

## How to use it

<Steps>
  <Step title="Open Price Analysis">
    Open a US-listed company in the Data Viewer and select **Price Analysis**. The section appears only
    for US-listed securities with full real-time market-data coverage.
  </Step>

  <Step title="Pick a section">
    Choose one of the six sections from the button row at the top: **Dark Pools**, **Volume Footprint**,
    **Live Quotes & Trades**, **Price Change Analysis**, **Technical Indicators**, or **Risk &
    Correlation**.
  </Step>

  <Step title="Dark Pools">
    Review the **Recent Darkpool Trends** chart — off-exchange volume against price over the recent
    window — alongside its growth and trend metrics, then read the consolidated dark-pool trades table.
    Use **Add to AI Chat** to push the full table to the assistant for interpretation.
  </Step>

  <Step title="Volume Footprint">
    In the **Filters** panel, pick a trading day, an interval (1 minute, 5 minutes, 15 minutes, or 1
    hour) and a lookback (1, 3, 5, or 10 days), then press **Update**. Toggle between **Volume Clusters**
    and **Imbalances**, read the **Market Share** donut and the **Market Share By Venue** bars, and check
    the **Intraday Trends** volume charts.
  </Step>

  <Step title="Live Quotes & Trades">
    Watch the live **OHLCV chart with VWAP** and the **Time & Sales** tape. Set an auto-refresh cadence
    (1s, 30s, 1m, 5m, 15m, or Off) or refresh manually. The statistics summary shows volume, trade count,
    VWAP, value, recent high/low over the lookback window, and buy/sell pressure.
  </Step>

  <Step title="Price Change Analysis">
    Search and add tickers (or import a list from JSON, CSV, or plain text), set a **From / To** date
    range, and press **Analyze**. Read the normalized performance chart — drag across it to compare any
    two dates — and the ranked summary table, then **export to Excel or CSV**.
  </Step>

  <Step title="Technical Indicators">
    Read the daily **Signals** panel (per-indicator Buy/Sell/Neutral plus an overall verdict) and the
    **Pivot Points**. Add or remove indicators, set a separate interval per indicator (1m, 1H, 1D, 1W,
    1M), choose a date range, and press **Analyze** to render the indicator charts.
  </Step>

  <Step title="Risk & Correlation">
    Choose a period (1M, 3M, 6M, 1Y, 3Y, or 5Y) and switch among **Correlations**, **Pair Comparison**,
    **Rankings**, and **Portfolio Matrix** — find the most-correlated names, best hedges, or
    diversifiers; compare against a specific ticker; rank the universe by beta, Sharpe, or volatility; or
    build an equal-weight correlation matrix.
  </Step>

  <Step title="Hand off to the assistant">
    On most sections (all except Technical Indicators), use **Add to AI Chat** / **Send to AI** to hand
    the current data to the assistant for explanation, summarization, or follow-up analysis.
  </Step>
</Steps>

## What you get

Price Analysis is six sections, each answering a different question about how the stock trades.

### Dark Pools

Reveals off-exchange (dark-pool / ATS) trading so you can spot institutional accumulation or
distribution that does not show on the lit tape.

* A **Recent Darkpool Trends** chart plots recent daily off-exchange volume (as an area) against the
  stock price (as a line) over roughly the last 30 days.
* A **metrics column** reports Overall Growth, Absolute Change, Trend Direction (Bullish / Bearish /
  Neutral), Average Daily Volume, the per-day volume for the first day, the last complete day and the
  prior day, the dollar-volume for the last complete day and the prior day, and the day-over-day change.
* A **consolidated dark-pool trades table** lists, newest first, the Consolidation Start time, Price,
  Size, Total Trade Value, Total Trades, Biggest Trade Size, Current Price, and Price Change % (the move
  since the trade). Trades are grouped into short time buckets.
* **Add to AI Chat** pushes the full table to the assistant. This section runs on sensible defaults (a
  recent multi-day window) — the detailed filter controls are not exposed here.

### Volume Footprint

Shows where volume traded by price level and which venues handled it, so you can find high-volume price
levels, buy-vs-sell imbalances, and venue/market-share shifts.

* A **Filters** panel sets the trading day, interval (1m / 5m / 15m / 1h) and lookback (1 / 3 / 5 / 10
  days); press **Update** to apply.
* The main chart toggles between **Volume Clusters** — a volume-by-price profile with the **Point of
  Control** marked — and **Imbalances**, which shows the buy/sell imbalance by price.
* A **Market Share** donut breaks volume down by venue, with a **Show % / Show Raw** toggle and tiny
  venues grouped into "Other."
* A **Market Share By Venue** bar chart compares each venue's share over the period against its average
  and flags **Notable Changes**.
* An **Intraday Trends** panel shows volume-by-interval and cumulative-volume charts against the trailing
  average, with daily and average-daily totals.
* **Add to AI Chat** exports the footprint data (Point of Control, clusters, imbalances).

### Live Quotes & Trades

A real-time view of the tape: the latest trades, an OHLCV chart with VWAP, and live statistics including
buy/sell pressure.

* A compact **statistics summary** shows total Volume, Trades, VWAP, total Value, recent Low/High over
  the lookback window, a green/red buy-vs-sell pressure bar (from tick-rule up/down classification), and
  the top venues by volume.
* The main panel is an **OHLCV price chart** with a dashed VWAP line; the bar interval scales with the
  chosen refresh rate.
* The **Time & Sales** tape lists Time, Price (color-coded for up/down ticks), Size, Value, and
  Exchange, with unusually large trades highlighted and pagination at 100 rows per page.
* **Auto-refresh** can be set to Off, 1s, 30s, 1m, 5m, or 15m (defaults to 30s when the US market is
  open, Off when closed), with a manual refresh and a self-updating last-updated timestamp. When the
  market is closed it shows a **Closed** indicator and the last session's date.
* A note states that quotes are sourced from ATS (Alternative Trading Systems) and that lit exchanges
  such as NYSE and NASDAQ are 15-minute or end-of-day delayed. **Send to AI** hands recent trades and
  stats to the assistant.

### Price Change Analysis

Compares historical price performance across many tickers over a custom window to rank winners and
losers and visualize relative performance.

* **Add tickers** by searching the global instrument universe by symbol or company name, or by importing
  a list from JSON, CSV, or plain text.
* Set a **From / To** date range (defaults to the last 30 days, capped at today) and press **Analyze**.
* A **Performance chart** normalizes each ticker to percent change from the start date, with an
  interactive legend to toggle tickers on/off and a click-and-drag gesture to compare the move between
  any two dates.
* A **Summary table** lists Ticker, Company, Start Price, End Price, Change (\$), Change (%), High, Low,
  and Total Volume, with footer stats (total tickers, gainers, losers, average change, selected).
* Export the table to a **styled Excel** workbook or to **CSV**; **Add to AI Chat** sends the comparison
  (including daily detail) to the assistant.

### Technical Indicators

Computes and visualizes technical indicators with per-indicator interval control, surfaces Buy/Sell/
Neutral signals and an overall verdict, and shows pivot-point support/resistance.

* A **Daily Signals** panel lists each indicator with its latest value and a Buy/Sell/Neutral reading, a
  green/neutral/red gauge with buy/sell/neutral counts, and an **overall signal** — Strong Buy, Buy,
  Neutral, Sell, or Strong Sell — decided by majority vote (for example RSI above 70 / below 30, MACD
  crossover, CCI at ±100, MFI at 80/20).
* A **Pivots** panel shows the prior close plus support/resistance levels (PP, R1–R3, S1–S3) with the
  percent distance from close, switchable across **Classic**, **Woodie**, **Fibonacci**, **Camarilla**,
  and **DeMark** methods.
* Below, you build a **chart set**: add or remove indicators from a searchable list, set a distinct
  interval per indicator (1m, 1H, 1D, 1W, 1M), choose a date range (defaults to the last \~14 days), and
  press **Analyze**. Defaults are RSI (1H), MACD (1H), and SMA (1D).
* Indicator charts support overbought/oversold reference lines, MACD-style histograms, and click-and-drag
  to read the change between two points.
* The supported indicators are broad — RSI, MACD, SMA, EMA, Bollinger Bands, Stochastic, ATR, ADX, CCI,
  Williams %R, MFI, ROC, Momentum, OBV, VWAP, Parabolic SAR, Accumulation/Distribution, Chaikin
  Oscillator, DEMA, TEMA, and WMA, among others.

### Risk & Correlation

Quantifies a stock's risk profile and how it moves relative to the market, peers, hedges, and a
hypothetical portfolio, using rank correlations computed across a large equity universe.

* A **period selector** (1M, 3M, 6M, 1Y, 3Y, 5Y; default 3Y) drives four views.
* **Correlations** shows a risk-statistics summary (Annualized Return, Annualized Volatility, Sharpe Ratio, Max
  Drawdown, Beta vs SPY, Skewness, Kurtosis, Observations), the average market correlation with the
  number of pairs compared, and a ranked correlations table. Buckets surface **Most Correlated** names,
  **Best Hedges** (most negative), or **Diversifiers** (near-zero).
* **Pair Comparison** computes the exact correlation between the current ticker and any chosen ticker and
  shows how that correlation has changed across periods (stability bars).
* **Rankings** lists the universe ranked by **Beta**, **Sharpe Ratio**, or **Volatility**; Beta and
  Volatility add a highest/lowest sort (Sharpe Ratio does not).
* **Portfolio Matrix** builds an equal-weight correlation heatmap from the current ticker plus added
  tickers (minimum two names), reporting holdings count, average correlation, annualized equal-weight
  portfolio volatility, a diversification rating (Good / Moderate / Poor), and a per-holding risk table.
* Correlations are Spearman rank correlations computed across a universe of roughly 10,000+ tickers.
  **Add to AI Chat** sends the risk and correlation results to the assistant.

### Key capabilities at a glance

| Capability                           | What it does                                                                                                                               |
| ------------------------------------ | ------------------------------------------------------------------------------------------------------------------------------------------ |
| **Dark-pool activity tracking**      | Surfaces large off-exchange block trades with daily volume-vs-price trends and growth/trend metrics to infer accumulation or distribution. |
| **Consolidated dark-pool trades**    | Time-bucketed off-exchange trades with price, size, total value, count, biggest size, current price, and change since trade.               |
| **Volume profile (footprint)**       | Traded volume at each price level with the Point of Control to find high-liquidity levels and value areas.                                 |
| **Buy/sell imbalance view**          | Toggle to directional imbalance by price level instead of raw clusters.                                                                    |
| **Venue market-share analysis**      | Donut + bar breakdown of where volume traded, flagging notable shifts vs. the trailing average.                                            |
| **Intraday volume trends**           | Current-day volume by interval and cumulative volume vs. the trailing multi-day average.                                                   |
| **Real-time trade tape**             | Streams the latest trades with price, size, value, and venue, highlighting unusually large prints.                                         |
| **Live OHLCV chart with VWAP**       | Intraday price bars and VWAP with an interval that scales to the refresh cadence.                                                          |
| **Live trade statistics**            | Volume, trade count, VWAP, value, high/low, and a tick-rule buy-vs-sell pressure split.                                                    |
| **Multi-ticker comparison**          | Normalized percent performance of a basket over a custom window with drag-to-compare and a ranked table.                                   |
| **Ticker list import**               | Bulk-load tickers for comparison from JSON, CSV, or plain text.                                                                            |
| **Technical indicator computation**  | A broad indicator library with a separately selectable interval per indicator and interactive charts.                                      |
| **Signals & overall verdict**        | Buy/Sell/Neutral per indicator plus a majority-vote overall signal (Strong Buy to Strong Sell).                                            |
| **Pivot point levels**               | PP, R1–R3, S1–S3 across Classic, Woodie, Fibonacci, Camarilla, and DeMark with distance-from-close.                                        |
| **Risk statistics**                  | Annualized return and volatility, Sharpe, max drawdown, beta vs SPY, skewness, kurtosis.                                                   |
| **Correlation discovery**            | Rank the most-correlated names, best hedges, and diversifiers across a large universe.                                                     |
| **Pairwise correlation & stability** | Exact correlation between two tickers and how it changes across periods.                                                                   |
| **Universe risk rankings**           | Rank stocks by beta, Sharpe, or volatility; beta and volatility add a highest/lowest sort.                                                 |
| **Portfolio correlation matrix**     | Equal-weight correlation heatmap and diversification/risk summary from a set of tickers.                                                   |
| **Hand-off to AI Chat**              | Send most sections' current data (all except Technical Indicators) into the assistant for interpretation or follow-up workflows.           |
| **Spreadsheet export**               | Export the Price Change comparison to a styled Excel workbook or CSV.                                                                      |

### What you can take away

* **Excel (.xlsx)** export of the Price Change comparison — a professionally styled workbook.
* **CSV** export of the Price Change comparison.
* **Data hand-off into AI Chat** from most sections (all except Technical Indicators), as structured context for the assistant.

## Data & sources

* **Real-time consolidated exchange and dark-pool (ATS) market data** powers Dark Pools, Volume Footprint
  and Live Quotes & Trades. It is available for US-listed securities with full real-time
  market-data coverage.
* **Live trade venues** identified on the tape include NASDAQ, NYSE, NYSE Arca, BATS, EDGA, EDGX, IEX, and
  ATS (off-exchange).
* **Technical indicators and pivot points** are computed from the platform's historical and intraday
  price data across minute, hour, day, week, and month intervals.
* **Risk statistics and correlations** are computed from historical returns. Correlations are Spearman
  rank correlations across a universe of roughly 10,000+ tickers, with beta measured against **SPY** (the
  S\&P 500).
* **Price Change comparison and ticker search** draw on the platform's global instrument universe (symbol
  and company name).

## Tips & best practices

* **Read dark pools against price, not in isolation.** Rising off-exchange volume with a Bullish trend
  can signal accumulation; the reverse can suggest distribution. Use the trend metrics for direction and
  the consolidated table for the size and timing of the blocks.
* **Anchor levels on the Point of Control.** In Volume Footprint, the price level with the most traded
  volume often acts as a magnet or support/resistance — pair it with the imbalance view to see whether
  buyers or sellers dominated that zone.
* **Match the live tape's refresh to the moment.** Use 1s or 30s during active hours to follow prints in
  real time, and remember lit-exchange trades are delayed — the real-time edge is the off-exchange (ATS)
  flow and buy/sell pressure.
* **Use drag-to-compare on the charts.** In Price Change and the indicator charts, click and drag across
  two dates to read the exact move between them rather than eyeballing it.
* **Set a separate interval per indicator.** Run a fast oscillator on 1H and a trend line on 1D in the
  same chart set so each indicator is read on the timeframe it works best on.
* **Use Risk & Correlation for construction, not just screening.** Find Best Hedges and Diversifiers for a
  position, then drop the candidates into the Portfolio Matrix to see how the equal-weight book's
  correlation and volatility actually change.
* **Send the section to the assistant for the "why."** Most sections have an AI hand-off (all except
  Technical Indicators) — push the dark-pool table, the footprint, or the risk stats into Chat and ask
  what it implies.

## Limits & things to know

* **Live Quotes & Trades is real time for off-exchange (ATS) prints only.** Lit-exchange trades (NYSE,
  NASDAQ, and others) are shown on a 15-minute or end-of-day delay.
* **Auto-refresh options are Off, 1s, 30s, 1m, 5m, and 15m.** The tape defaults to 30s during US market
  hours (Mon–Fri, 9:30am–4:00pm ET) and Off when the market is closed.
* **The Time & Sales tape shows the latest \~500 trades** (count-bounded, paginated at 100 per page), not
  a time window. The \~1-hour window during market hours and \~72-hour window when the market is closed
  governs the price chart and the live statistics — not the trades tape.
* **Volume Footprint data settles overnight.** The most recent selectable trading day is the
  previous completed weekday; weekends are not selectable, and the available history begins from a recent
  start date. Intervals are limited to 1m, 5m, 15m, and 1h, with a 1-, 3-, 5-, or 10-day lookback.
* **Dark Pools detailed filters are not adjustable on screen.** The section runs on default settings (a
  recent multi-day window, with the trends chart covering roughly the last 30 days).
* **Risk & Correlation tables and rankings return up to 20 results at a time**, the Portfolio Matrix
  requires at least two tickers, and the periods are fixed presets (1M, 3M, 6M, 1Y, 3Y, 5Y; default 3Y).
* **Beta is measured against SPY (the S\&P 500) only.**
* **Technical Indicators charts default to the last \~14 days**; longer windows require setting the date
  range manually.

### Availability

Price Analysis appears **only for US-listed securities with full real-time market-data coverage**. It is
hidden for Canadian-only and limited-data tickers — Canadian (.TO) listings are sent to the standard Data
Viewer instead. If you do not see Price Analysis for a name, that ticker is not covered. Unlike
[Comps](/data-viewer/comps) and the [Chart](/data-viewer/chart) tab, which work for limited-data names,
Price Analysis is gated to full-market-data US tickers.

## Works with other features

Price Analysis sits inside the Equities (Data Viewer) workspace, a per-company research surface that
feeds the rest of the platform.

<CardGroup cols={2}>
  <Card title="Chat (AI assistant)" icon="messages-square">
    Most of the six sections (all except Technical Indicators) have an **Add to AI Chat** / **Send to AI**
    action that pushes their current dataset — the dark-pool table, the footprint, recent trades, the price-change comparison, the
    risk stats — into the assistant as context for interpretation, Q\&A, or multi-step workflows.
  </Card>

  <Card title="Excel / CSV" icon="download">
    The **Price Change** comparison exports to a professionally styled **Excel** workbook or to **CSV**
    for your models and screens.
  </Card>

  <Card title="Ticker list import" icon="upload">
    **Price Change** accepts an uploaded ticker list (**JSON, CSV, or plain text**) to seed a comparison
    in one step.
  </Card>

  <Card title="Global ticker search" icon="search">
    **Price Change** and **Risk & Correlation** search the platform's full global instrument universe to
    add comparison and peer tickers by symbol or company name.
  </Card>

  <Card title="Chart" icon="line-chart">
    Spot a setup on the [Chart](/data-viewer/chart) tab, then come here for the computed indicator
    signals, pivot points, dark-pool/venue footprint, and risk analytics — the calculated numbers behind
    the picture.
  </Card>

  <Card title="Fundamentals tabs" icon="building-2">
    Pivot from microstructure and technicals to fundamentals on the same ticker —
    [Financials & Ratios](/data-viewer/financials), [Comps](/data-viewer/comps), and
    [Estimates](/data-viewer/estimates) — without leaving the company.
  </Card>

  <Card title="Grids" icon="table">
    Take a price or technical question you answered on one name and run it across its peers at scale in a
    **Grid**.
  </Card>

  <Card title="Reports" icon="file-text">
    Use the analysis as factual input for a generated stock research report — the Equities workspace can
    kick one off for the ticker you are viewing.
  </Card>
</CardGroup>

## Example workflow

**Goal: spot institutional accumulation, confirm the technical setup and risk, then package and scale the
work.**

1. Open the company in the Data Viewer and select **Price Analysis → Dark Pools**. Read the Recent
   Darkpool Trends chart and metrics — rising off-exchange volume with a Bullish trend hints at
   accumulation — then press **Add to AI Chat** and ask the assistant to summarize the block-trade
   pattern.
2. Switch to **Volume Footprint**, pick yesterday with a 5-day lookback, and note the **Point of
   Control** and any buy-side imbalance, plus where the volume is concentrating across venues.
3. Open **Live Quotes & Trades** during market hours, set auto-refresh to 30s, and watch the tape and
   buy/sell pressure to see whether the off-exchange flow is continuing in real time.
4. Go to **Technical Indicators** to confirm the timing — read the daily Buy/Sell signals and overall
   verdict, and check pivot support/resistance for entry levels.
5. Open **Risk & Correlation**, review beta, volatility, Sharpe, and drawdown over 1Y, then use **Best
   Hedges** and the **Portfolio Matrix** to see how the position fits a book.
6. Compare the name against its peers in **Price Change** over the same window, **export to Excel**, then
   ask **Chat** about the company to connect the microstructure read to news and fundamentals.
7. To scale it, run a **Grid** that asks the same price/technical questions across the peer group, and
   generate a stock research report for the name with **Reports** grounded in the same analysis.

## FAQ

<AccordionGroup>
  <Accordion title="Why don't I see Price Analysis for this stock?">
    Price Analysis is only available for US-listed securities with full real-time market-data coverage.
    It is hidden for Canadian-only or limited-data tickers; Canadian (.TO) listings are sent to the
    standard Data Viewer instead.
  </Accordion>

  <Accordion title="Is the live tape truly real time?">
    Off-exchange (ATS) trades stream in real time. Trades from lit exchanges like NYSE and NASDAQ are
    shown on a 15-minute or end-of-day delay. You can set auto-refresh from 1 second up to 15 minutes, or
    refresh manually.
  </Accordion>

  <Accordion title="What do dark pools tell me?">
    Dark pools are private venues where institutions execute large orders anonymously to minimize market
    impact. Rising off-exchange volume with a bullish trend can indicate accumulation, while the reverse
    can suggest distribution. The Dark Pools section charts this against price and lists the consolidated
    block trades.
  </Accordion>

  <Accordion title="What is the Point of Control in Volume Footprint?">
    The Point of Control (POC) is the price level with the most traded volume over the selected window. It
    often acts as a magnet or support/resistance level. The footprint also highlights the value area where
    most volume concentrated.
  </Accordion>

  <Accordion title="Can I compare several tickers at once?">
    Yes. In Price Change, search and add tickers or import a list (JSON/CSV/TXT), pick a date range, and
    Analyze. You get a normalized performance chart (drag to compare any two dates) and a ranked summary
    table you can export to Excel or CSV.
  </Accordion>

  <Accordion title="How are the Buy/Sell signals decided in Technical Indicators?">
    Each indicator produces a Buy/Sell/Neutral reading from standard rules — for example RSI above 70 or
    below 30, MACD crossovers, CCI at ±100, MFI at 80/20. The overall verdict (Strong Buy through Strong
    Sell) is a majority vote across the indicators.
  </Accordion>

  <Accordion title="Which pivot point methods are available?">
    Classic, Woodie, Fibonacci, Camarilla, and DeMark — each showing the pivot (PP), three resistance
    levels (R1–R3), and three support levels (S1–S3) with the percent distance from the prior close.
  </Accordion>

  <Accordion title="What does Risk & Correlation measure?">
    It reports the stock's annualized return and volatility, Sharpe ratio, max drawdown, beta versus the
    S\&P 500 (SPY), skewness and kurtosis, plus its correlations with the market and with other tickers
    (Spearman rank correlations across roughly 10,000+ names). You can find the most-correlated names,
    best hedges, diversifiers, rank the universe by beta/Sharpe/volatility, and build a portfolio
    correlation matrix.
  </Accordion>

  <Accordion title="How far back can I look at Volume Footprint data?">
    Footprint and venue data settle overnight, so the latest selectable day is the previous completed
    trading day. Weekends aren't selectable, and the available history begins from a recent start date.
    Intervals are 1m/5m/15m/1h with a 1-, 3-, 5-, or 10-day lookback.
  </Accordion>

  <Accordion title="Can I send this data to the AI assistant?">
    Most sections do — every section except Technical Indicators has an Add to AI Chat (or Send to AI)
    button that loads the current table or analysis into the AI Chat assistant, so you can ask it to
    interpret, summarize, or drive a follow-up workflow.
  </Accordion>

  <Accordion title="Does Price Analysis cover fundamentals or estimates?">
    No. Price Analysis focuses on price action, market microstructure, technicals, and risk. For
    fundamentals, valuation, or analyst estimates, use [Financials & Ratios](/data-viewer/financials),
    [Comps](/data-viewer/comps), or [Estimates](/data-viewer/estimates) in the same Data Viewer.
  </Accordion>
</AccordionGroup>

## Getting help

For help using Price Analysis or designing a microstructure or technical workflow around it, reach
AllMind support through the in-app support option or by scheduling a support call with your account team.
