Personalized daily briefings with overnight movers, technical signals, accumulation signals, and options income opportunities — delivered by 10 AM ET.
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Actual briefing sections — generated by our AI pipeline for a real subscriber.
Markets traded higher with tech leading — NVDA surged 3.2% on strong earnings guidance while broader indices held gains. Your portfolio grade improved to B+ with 8 positions averaging +0.45%. Concentration risk is moderate at 22% in NVDA; consider trimming to 15% and redeploying into healthcare. Options premiums are attractive with VIX at 18.5 — the AAPL $260 covered call offers 17.5% annualized yield.
| Symbol | Strike | Exp | Premium | Ann. Yield | Score |
|---|---|---|---|---|---|
| AAPL IV 28% / HV 22% |
$260 | Apr 17 | $4.20 | 18% | 8/10 |
| NVDA IV 42% / HV 35% |
$185 | Apr 17 | $5.80 | 34% | 7/10 |
Analysis based on your tickers — not generic market commentary. See how overnight moves affect the stocks you care about.
See a live example →A daily health checkup for your portfolio — sector concentration, earnings risk, RSI extremes, valuation gaps, and an overall A-through-F grade. Personalized diagnostics no generic newsletter can match.
See a sample report →A-rated companies trading below their 3-year valuation median. Conviction-scored accumulation signals with AI-generated thesis — no day-trading noise.
Covered call and cash-secured put opportunities screened from real options chains. Premium yields and probability of profit included.
AI-generated research pages for every stock you track — fair value estimates, bull/bear scenarios, analyst consensus, and valuation regime. Updated continuously.
Browse research →In your inbox by 10 AM ET. Scan in 2 minutes, act with confidence. No noise, just insight.
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Tell us what you own or watch. Up to 25 stocks (50 on Pro).
Every weekday at 10:00 AM ET. AI analysis, valuation signals, options ideas.
Personalized to YOUR holdings, not generic market news. Every section — executive summary, accumulation signals, options income — is tailored to the tickers you track. The AI narrative is written about your portfolio, not the S&P 500.
Every weekday at 10:00 AM ET — 30 minutes into the trading session, so your briefing includes live market data.
Up to 25 on the free plan, 50 on Pro. Add or change them anytime from your setup page.
Yes. The free plan includes daily briefings, accumulation signals, and top income opportunities. Pro ($9/mo) unlocks more tickers and full options coverage. See /pricing for details.
Coming soon. For now you get the full briefing — executive summary, accumulation signals, options income, portfolio health, and more.
A personalized portfolio health report in every briefing. Portfolio Doctor analyzes your holdings across six dimensions — sector concentration, earnings risk, RSI extremes, analyst consensus, valuation, and weighted upside — and gives you an overall health grade (A through F) with plain-English diagnostics. Think of it as a daily checkup for your portfolio, not just your stocks. See a sample report.
Quality at a Discount accumulation/add signals when A-rated companies are priced below their 3-year valuation median with strong revenue growth and analyst consensus. Plus trim signals when holdings become overvalued (>130% of median). Each signal includes valuation context, conviction score, and an AI-generated thesis. See our full methodology.
A valuation-first approach: we find A-rated companies (FMP rating A- or higher) trading below their 3-year valuation median. Quality gates — positive revenue growth, strong analyst consensus, and minimum market cap — filter out value traps. The result: fundamentally strong businesses at historically attractive prices.
Backtested against 4 years of S&P 500 data (54 stocks, 2021–2025). Our primary accumulation signal delivered +6.2% median alpha vs SPY at 6 months. The trim signal validated sell discipline with −4.5% alpha. See the full backtest results.
Every opportunity is scored on five factors: how far out-of-the-money the strike is, premium yield, probability of profit, how elevated implied volatility is relative to historical levels, and where IV ranks over the past year. We backtest across 93 symbols over 6 months and the combined success rate is 71.6%. Covered calls require the stock to be above its 50-day trend, and cash-secured puts must be near a support level. Any symbol with a success rate below 50% is automatically disqualified. See the full options scorecard for complete transparency.
No. QuantHub provides educational and informational content only. We are not a registered investment advisor and nothing here constitutes personalized investment advice. Always do your own research and consult a qualified financial advisor before making any investment decisions.
Real-time market data from professional-grade providers: Financial Modeling Prep for quotes, fundamentals, and technical indicators, and MarketData.app for live options chains with full greeks. AI analysis is powered by frontier language models. All data is refreshed daily before each briefing is generated.
Yes. Each recommendation includes the strike price, expiration date, premium, and probability of profit, along with a plain-English explanation of why the opportunity makes sense right now. Management rules — when to close for profit or cut losses — are attached to every opportunity. The scorecard shows full historical transparency so you can see exactly how past opportunities performed. If you're just getting started, begin with covered calls on stocks you already own.
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Built by Suneet, a software engineer and long-term investor who got tired of reading generic market recaps that had nothing to do with his actual portfolio. QuantHub started as a personal tool — now it's yours too.
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