Liquidity-First Pair Filtering
Skips noisy markets and prioritizes pairs with stable depth and measurable movement.
Quantova combines intelligent pair selection, consistent execution rules, and practical risk controls so you can operate with structure instead of noise.
Ranked pairs daily by liquidity and volatility.
TP, SL, and daily guardrails always enforced.
WebSocket-driven entries and rapid order reactions.
Every module is focused on one goal: helping you run an automated strategy with clear signals, controlled downside, and readable performance feedback.
Skips noisy markets and prioritizes pairs with stable depth and measurable movement.
Daily stop rules, max position limits, and cooldown windows reduce uncontrolled overtrading.
Structured setup detection helps keep entries aligned with trend and pullback conditions.
Execution model considers costs so gross wins can translate into net consistency.
See active positions, recent actions, and operational state without digging through logs.
Track win rate, expectancy, and rolling PnL to evaluate strategy quality over time.
Choose symbols, risk limits, and strategy parameters from the control panel.
Start live or paper mode and let the engine execute your logic consistently.
Use dashboard metrics to refine settings and improve trade quality over time.
Set up your account, configure your risk profile, and monitor strategy health from one place.