This service is designed for serious market participants who are tired of guessing, overtrading, and carrying portfolio risk without a clear, forward-looking framework.
It plugs you directly into the institutional-grade Crystal Ball architecture—and adds daily, personalized human guidance so you are never interpreting the data alone.
Whether you define yourself as a technical trader or a fundamental investor, nearly every tool available to you is anchored to the past: past price, past earnings, and past narratives.
These tools describe what has happened, but they cannot tell you where institutional capital is likely to move next. As a result, you are always reacting one step late. When the regime shifts, backward-looking playbooks break; conviction vanishes right when volatility spikes.
Even professionals face these structural issues:
This is a high-touch, one-on-one engagement where you and your portfolio sit on top of the Crystal Ball system instead of beside it.
You gain access to the same institutional-grade GPS: 26+ macro and flow models built on a four-layer framework (long-term, monthly, weekly, daily) designed to anticipate capital movements before price reveals them.
Crucially, you get direct, personalized sessions with me to translate that intelligence into concrete rules for your specific account: bias, allocation, sizing, entry/exit playbooks, and explicit "do nothing" conditions.
Terms of engagement: You keep custody and full control of your money at all times. There is no login sharing, no execution on your behalf, and no guaranteed returns. The work is focused on your decision process and risk architecture, not on selling you a magic performance number.
Using your existing account and instruments, we systematically attack the three critical failure points:
1. Clarity We anchor your view using the four-layer Crystal Ball stack. Every decision is situated inside a clear long-term, monthly, weekly, and daily context, rather than relying on isolated chart patterns.
2. Discipline We define explicit rules for when you are allowed to act, exactly how much you are allowed to risk, and when you must stand aside, stopping improvisation under stress.
3. Consistency We build a repeatable daily and weekly operating routine (prep, review, adjustment) that you can follow regardless of market noise, turning the system into a habit rather than a one-off insight.
The result is fewer impulsive trades, fewer regime-blind bets, and a portfolio aligned with institutional flows and macro structure rather than fighting them.
Beyond model access, my responsibility in this relationship is to act as your decision partner.
I am here to challenge emotional impulses, stress-test your ideas against the data, and help you steadily improve the robustness of your process over time. We will review your positions against the Crystal Ball view and co-design adjustments that fit your specific risk tolerance and time horizon.
Legally and ethically, execution and outcomes remain your responsibility. The value you are paying for is a professional-grade GPS plus a dedicated copilot who ensures you use it correctly on your own capital.
To join Message me on X: @Marketgps or WhatsApp: +91 9589149369