How it works

From plan to execution without hiding the decision process.

Syntrake is designed to show what changes first, what stays free, and when Trading Pro becomes worth paying for. The point is not more signals. The point is fewer avoidable mistakes around capital, timing, and risk.

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System map
Syntrake is a decision system with visible layers, not a black-box signal feed.
Investing handles the capital plan and the daily operating loop. Trading reads the market, ranks what deserves attention, and prepares broker-ready execution only when depth actually matters.
Workspaces
2 clear systems
Investing handles the plan and capital operating logic. Trading handles market scan and execution prep.
Decision loop
1 next best action
Daily and Advisor keep the user focused on the highest-value move now.
Execution model
External broker control
Syntrake prepares the order logic and checklist while the user keeps execution control.
Verification
Real-time cross-check
Valid trades can be compared against external references before execution.
Investing OS
Goal, horizon, guardrails, portfolio, and advisor logic stay visible so the user understands the capital path before subscribing to anything.
  • The plan becomes a live operating contract.
  • Portfolio surfaces leaks and valuation issues clearly.
  • Receipts create proof over time.
Trading Desk
Radar, Watchlist, Opportunities, Execution, Risk, Journal, and Alerts each have a distinct role instead of one noisy surface pretending everything is actionable.
  • Radar separates market scan from execution-ready setups.
  • Execution stays intentionally selective instead of flooding the user with noise.
  • Risk framing and verification stay visible before money moves.
Step 1
Set the target

Define the goal and timeframe. Syntrake anchors every later decision to that target.

Step 2
Build the operating rules

Buckets, guardrails, policy, and playbooks turn intent into a repeatable framework.

Step 3
Follow the next best action

Syntrake ranks the next move, explains why it matters, and shows the risk around it.

Step 4
Unlock Pro when depth becomes valuable

Execution, alerts, journal continuity, and tighter risk framing become the paid layer because that is where recurring operational value lives.

Free first

You can prove the core value before paying.

  • - Investing stays open with Daily, Plan, Portfolio, Advisor, and Autonomy.
  • - Trading Discovery exposes the desk and opportunity flow before the depth paywall.
  • - Trust, pricing, and broker model stay inspectable in public.
Paid for depth

The monthly subscription exists to reduce live execution mistakes.

  • - Execution, Risk, Journal, and Alerts get deeper instead of noisier.
  • - Broker execution stays manual, but the workflow becomes cleaner and more auditable.
  • - Recurring value comes from adaptation, continuity, and risk control over time.
Start freeSee pricing