Make the market legible.
The signal feed the risk desks trust. Forty-two markets, consistent methodology, audited since 2014.
COVERAGE 42 MKTS · LATENCY <80MS · EST. 2014
The problem is instrumentation, not noise.
Markets produce signal continuously. Most professional desks run on sentiment aggregators built for sales demos. None of them can show their work.
SCALAR is a measurement instrument. It ingests raw price, flow, and structural data across forty-two markets, applies a consistent quantitative methodology audited since 2014, and returns a clean signal feed. No forecast. Every output traces to its inputs.
The terminal runs on the same feed the API exposes, at the same latency. No derived layer, no delayed summary. The desk reads what the instrument reads.
What the desk sees.
Forty-two markets on one screen: live tables, structural readings, and one signal line timestamped to the millisecond.

The live signal.
Forty-two markets, live. The terminal reads from the same feed the API exposes, with no derived or delayed layer between the instrument and the desk.
Measured point-of-receipt to delivery. Audited quarterly against primary exchange timestamps.
How the instrument works.
- 01 / INGESTIngest
Raw price, volume, and structural data is collected from primary exchange feeds across forty-two markets. No aggregated proxies. No third-party sources between origin and record.
- 02 / MODELModel
A versioned, documented quantitative framework is applied. Every model version is numbered, logged, and available for full methodology review by active subscribers.
- 03 / SIGNALSignal
A clean, timestamped signal is emitted sub-eighty milliseconds from data receipt and delivered to the terminal and the API feed simultaneously.
Speed is part of the method.
From exchange receipt to desk in under eighty milliseconds, on the same audited clock as the methodology.
What the instrument covers.
Forty-two markets across seven asset classes. Consistent methodology and latency applied to every feed.
| Asset class | Live Signal | Historical Depth | Structural Analysis | API Access | Terminal View |
|---|---|---|---|---|---|
| Equities | ✓ | ✓ | ✓ | ✓ | ✓ |
| Rates | ✓ | ✓ | ✓ | ✓ | ✓ |
| Credit | ✓ | ✓ | ✓ | ✓ | ✓ |
| FX | ✓ | ✓ | ✓ | ✓ | ✓ |
| Commodities | ✓ | ✓ | ✓ | ✓ | ✓ |
| Inflation | ✓ | ✓ | ✓ | ✓ | — |
| Volatility | ✓ | — | ✓ | ✓ | ✓ |
Coverage as of Q2 2026. New market additions are notified to active subscribers before public announcement.
The factsheet.
SCALAR does not produce recommendations. The instrument shows the structure of the market so the desk can form its own view and defend it with auditable data.

Pricing.
Two self-serve tiers and a direct arrangement for institutional desks requiring custom coverage or delivery.
Full signal access for analysts and systematic traders running their own book.
- ✓Full 42-market signal feed
- ✓API access (500K calls/month)
- ✓Twelve-month historical depth
- ✓Single analyst seat
- ✓Email support
The complete instrument for teams. Signal feed plus the SCALAR terminal, with up to five analyst seats.
- ✓Everything in Desk
- ✓SCALAR terminal (up to five seats)
- ✓Full historical depth from 2014
- ✓Higher API limit (2M calls/month)
- ✓Dedicated support channel
For risk desks, fund operators, and systematic programs with coverage, delivery, or audit requirements beyond the standard tiers.
- ✓Custom market coverage
- ✓On-premise or private-cloud delivery
- ✓Co-located signal endpoint available
- ✓SLA and audit documentation
- ✓Dedicated relationship contact
Billed annually. Month-to-month available at a 20% premium. Institutional agreements carry an annual minimum. No refunds on partial billing periods.
Access is by request.
The desk stays small for a reason. Access at the Desk and Terminal tiers requires account verification. Institutional access is reviewed individually against coverage fit and delivery scope. The desk responds within two business days.
No. SCALAR is a measurement instrument. It returns a clean signal feed and shows the structure of the market; the desk forms and defends its own view.
Forty-two markets across seven asset classes: equities, rates, credit, FX, commodities, inflation, and volatility, on one consistent methodology audited since 2014.
Desk and Terminal are self-serve with account verification. Institutional access is reviewed individually against coverage fit and delivery scope.
