Founded January 12, 2000 • At the Peak of the Internet Bubble
25+
Years of Excellence
100,000+
RIAs & Family Offices
Industry-Leading
Accuracy
$3B+
Estimated AUM Following Our Strategies Directly
Distributed Through Leading Platforms
Reuters
Bloomberg
FactSet
Refinitiv
Zacks
Interactive Brokers
Trusted by Top Institutions
BlackRock
Citadel
Invictus
Renaissance Tech
What Our Clients Say
"Your market calls are uncanny. It's like you're a day ahead of everyone else."
— Jennifer
"You saved me from getting crushed in 2020. I'll never ignore risk again."
— Alex
"After 15 years of trading, this is the only approach I trust."
— Karen
"I've been a subscriber for years. Your strategies consistently keep me out of trouble and ahead of the curve."
— Michael
"The discipline you enforce is what every trader needs. I've stopped making emotional decisions."
— David
"I wish I had followed your signals more closely. The times I did, I made money. The times I didn't, I lost."
— Susan
"It's the only system I've used that actually adjusts to market conditions in real time."
— Erik
"I was skeptical at first, but now I use your analysis every day before I trade."
— Carlos
"This isn't just a trading tool — it's a mindset shift."
— Rachel
"I don't make a move without checking the support and resistance levels you post."
— Tom
Institutional Intelligence for Every Investor
Bridging the gap between Wall Street sophistication and Main Street accessibility
"It is what you do when you are wrong that defines you."
Thomas H. Kee Jr., Founder & CEO
Risk-First Philosophy
Founded at the peak of the Internet Bubble, we've navigated through the most volatile market conditions in modern history. Our unwavering commitment to risk control has enabled consistent returns while protecting capital during market downturns.
Quantitative Excellence
Our algorithms process millions of market signals daily, identifying opportunities with statistical precision. Every strategy incorporates institutional-grade risk controls that automatically adapt to changing market conditions.
Proven Track Record
From +250% returns in 2000 (SEC reviewed) to calling the 2007 market peak five years in advance, our systematic approach has consistently delivered alpha through all market cycles.
Industry-Leading Accuracy
SPXNDXGlobal Equities
Precision in identifying market turning points across all major indices and equities worldwide. Our proprietary models capture pivotal moments before they occur, providing institutional clients with crucial timing advantages.
Proven Performance Across Market Cycles
Two decades of market-beating returns through systematic risk management
Performance as of July 28, 2025
Internet Bubble Navigation
+250%
Year 2000 Returns (SEC Reviewed)
Evitar Corte Strategy
+921.05%
vs. 335.69% S&P 500 since 2000
Stock of the Week (SOW) Strategy
+1054.50%
vs. 331.91% S&P 500 since Dec 10, 2007
Risk-First Philosophy
Our outperformance is a natural byproduct of risk control
Consistent returns across all market cycles through disciplined risk management
Milestones of Innovation
A Legacy of Forecasting Precision, Risk Management, and Institutional Strategy
2000-02
Foundation of Our Predictive AI
During the tech bubble collapse, Stock Traders Daily delivered standout performance—approximately +250% in 2000, and ~+150% in each of 2001 and 2002—by consistently identifying market turning points in both directions.
This success established our structured, rules-based approach to risk management and signal recognition—disciplines that became the blueprint for everything that followed.
2002
Investment Rate Model Created ?
Introduced the Investment Rate (IR)—a proprietary, forward-looking demographic model designed to quantify the rate of change in lifetime investment flows into the U.S. economy.
Forecasts demand for equities decades ahead
Offers quantitative long-term risk framework
Would have predicted Great Depression, stagflation, and 2007-08 crisis
2007
Market Peak Called with Conviction
Thomas Kee entered MarketWatch CEO's office, placed a bottle of Dom Pérignon on his desk, and said: "The market is going to crash. When it does, we'll drink this together."
Six months later, they did—just as predicted. This singular moment of foresight led to Stock Traders Daily becoming an immediate contributor to MarketWatch.
CNBC Interview - "This is the Top" - Dow 13,760
2009
Buy and Hold is Dead
Book delivered to Wiley Publishing in 2007—before the crash—warning investors and outlining flaws in "buy and hold" doctrine. Published in 2009 after the world was ready to hear the message.
BNN interview championed dynamic, risk-aware investing and reinforced the need for proactive strategies.
BNN - Buy and Hold is Dead
2011
Systematized Analysis Goes Public
Stock Traders Daily showcased its structured and repeatable market analysis live on BNN, further solidifying the reputation for data-backed, process-driven forecasting.
BNN - Market Lookahead
2012
Apple Called at Its Peak
In a widely viewed Fox Business interview, we issued a contrarian warning on Apple (AAPL) at the height of market euphoria—demonstrating our commitment to data over emotion.
Fox Business - After the Bell
2015
Sentiment Tools Recognized Globally
Our proprietary Sentiment Table powered a hedge fund strategy that was ranked #5 globally by Hedgeco—validating its institutional-grade performance and utility.
2018
CORE Strategy Launch
Anticipating the effects of quantitative tightening, we launched the CORE Portfolio Strategy to mitigate exposure. It successfully sidestepped the 2020 COVID crash, shielding investors from the worst of the drawdown.
2019
Historic Reversal Call
Our Fibonacci Calculator identified the largest single-day reversal in Dow Jones Industrial Average history, validating our commitment to quantitative accuracy at the micro level.
2020
Tactical SMA Powers Top-Ranked Fund ?
Amid a year of global chaos, a fund utilizing our Tactical SMA strategy was ranked #2 worldwide by Hedgeco for its exceptional risk-adjusted returns.
This recognition validated the institutional-grade strength of the strategy under extreme volatility—and highlighted the power of disciplined, rule-based systems.
2022
Liquidity-Driven Volatility Forecasted
Our Global Liquidity Report, published in December 2021, accurately projected the full arc of volatility and risk events throughout 2022—enabling clients to reallocate preemptively.
2025
ULTRA Core Signal Triggers Major Inflection ?
In April 2025, our ULTRA Signal pinpointed the market bottom in real time:
Helped clients avoid an estimated 16.6% drawdown
Delivered a subsequent +19% upside
Reinforced the power of structured risk frameworks in live markets.
Institutional-Grade Strategies
Quantitative models designed for sophisticated investors
Evitar Corte
Market crash protection system using FOMC analysis.
CORE Portfolio
Low-volatility strategy with capital preservation focus. Protected investors from Corona Crash with systematic risk management.
Strategic Plan
Trades around long-term pivots only.
Stock of the Week
AI-driven single stock selection with integrated risk controls.
Quantitative Trading Suite
Day Trading, Swing Trading, and Lock & Walk strategies powered by proprietary algorithms.
Trend Tracker
Automated trading system connecting to Interactive Brokers for systematic execution.
Measures natural asset demand years into the future, providing unparalleled long-term market insights. One of the most accurate leading indicators ever developed.
Global Liquidity Analysis
Comprehensive FOMC and central bank analysis identifying market volatility up to one year in advance. Essential for institutional risk management.
Real-Time Analytics
Pivot points for all major indices and stocks updated in real-time, with integrated trading plans for immediate execution.
Fibonacci Calculator
Advanced technical analysis tool that captured the biggest single-day reversal in DJI history, demonstrating unmatched precision.
Sentiment Analysis
Proprietary sentiment table identifying overbought and oversold conditions, used by top-performing hedge funds globally.
Automated Execution
Trend Tracker automation platform for systematic strategy implementation through major prime brokers.
Access Institutional-Grade Intelligence
Join leading institutions leveraging our quantitative strategies
✕Error. Try later.Get Real Time Push Notices on our Strategies and Models. Goto our Optimize Page for Instructions. Find it in the Main Menu: Home-OptimizeGet Real Time Push Notices on our Strategies and Models. Goto our Optimize Page for Instructions. Get Real Time Push Notices on our Strategies and Models. Goto our Optimize Page for Instructions. Find it in the Main Menu: Home-OptimizeGet Real Time Push Notices on our Strategies and Models. Goto our Optimize Page for Instructions. Find it in the Main Menu: Home-OptimizeSUBSCRIBE
I read the Predictive AI produced by Stock Traders Daily for you. I identify stocks to buy or sell based on the criteria you provide to me here. For maximum results, use me for ideas when the Market is testing a support or resistance level. The idea is to follow the simple rules of technical analysis and look for stocks to buy when support is being tested, and look to sell/short when resistance is tested. Market analysis is provided on our Portal page.
The first question I have for you is, do you want to Buy or Short?
Thank You. Next we need to determine how long you want to hold this trade. If you want this to be intraday, select Day Trading, if you want it to be more than one day but less than 2 weeks select Swing Trading, and anything more than that, select Longer Term trading.
Support Plans are based on tests of Support, while Resistance Pans are based on tests of Resistance. If you are unsure, review both. Find additional details explaining these below.
A Support Plan is a trading plan based on a test or a break of defined support. A long support plan, for example, would be a plan to buy a stock near support with a target of resistance. A short support plan however would be a plan to short the stock if support began to break lower with a downside target of the next level of support.
A Resistance Plan is a trading plan based on a test or a break of defined resistance. A short resistance plan, for example, would be a plan to short a stock near resistance with a downside target of support. A long resistance plan however would be a plan to buy the stock if resistance began to break higher with a target of the next level of defined resistance. Some call this a 'breakout plan.'