Financial Intelligence Platform

Quantitative tools,
built in the browser.

Quantitative research, options modeling, and portfolio insights. Whether you're picking your first stock or running complex option strategies, Dronabinols gives you the tools and clarity to make informed decisions.

Stock data·30+ option strategies·Portfolio analytics
Loading…
Quant-first research
HMM, Monte Carlo, DCF, and six more models
30+
Option Strategies
Builder, Optimizer, Flow, Chain, Outlook
Snowflake Scores
Pentagon analysis across five dimensions
Portfolio Tracking
Positions, backtests, and stress tests

6 quant models built in

Quantitative tools that run directly in your browser. Every model trains on real price data.

  • Hidden Markov Model: 3-state regime detection (Bull/Bear/Sideways) with chart overlay
  • Monte Carlo: 2,000-path simulation with percentile bands at 30/60/90 days
  • Mean Reversion: Z-score deviation from SMA 50/200 with historical reversion rates
  • Momentum Score: composite 0-100 from ROC, MA position, volume, and relative strength
  • Support & Resistance: kernel density estimation for key price levels
  • Earnings Surprise Predictor: weighted model forecasting beat/miss with confidence
★ Market Regime
BullBull 72%Side 18%Bear 10%
Monte Carlo
$218.40
Momentum
78/100
Mean Rev.
+1.2σ
Support
$198.50
Resistance
$225.10
Earn. Pred.
Beat 73%

Deep stock research

Everything you need to analyze any stock or ETF. Quotes, interactive charts with 6 technical indicators, Snowflake scoring, DCF modeling, and market data.

  • Intraday 5-min charts with after-hours data and gap detection
  • Daily charts with SMA, EMA, Bollinger Bands, RSI, and MACD
  • Snowflake Analysis: 5-dimension scoring with customizable weights
  • DCF Calculator with auto-filled financials and sensitivity analysis
  • Short interest with squeeze gauge, institutional holders, ETF holdings
  • Revenue, margin trends, EBITDA, and cash flow charts side by side
AAPL — 1Y
Snowflake24/30
DCF Fair Value$242.80
RegimeBull 72%
P/E Ratio31.2x
Div Yield0.52%

Dashboard & portfolio tools

A personalized daily briefing, sector heatmaps, crypto prices, economic calendar, stock screener, portfolio backtesting, and multi-stock comparison.

  • Daily Briefing: personalized snapshot with portfolio status and upcoming earnings
  • Sector Heatmap: 11 GICS sectors with live performance, color-coded by intensity
  • Stock Screener: 60+ stocks across 10 sectors with sortable filters
  • Portfolio: stock and option positions, stress testing, and backtesting with Sharpe ratio
  • Crypto dashboard (BTC, ETH, SOL, ADA, DOGE, XRP) with live Binance prices
  • Economic calendar, earnings calendar, news with sentiment tags, and export tools
SECTOR PERFORMANCE
Tech
+1.82%
Financials
+0.91%
Healthcare
-0.34%
Energy
+2.15%
Consumer
-1.08%
Industrials
+0.42%
Portfolio P/L+$2,840
Stress Test-12% worst
Backtest Sharpe1.42
Active Alerts3

Professional options tools.
For every strategy.

A complete options toolkit — five professional tools, from beginner-friendly strategy templates to expert multi-leg structures. Build, analyze, and optimize any options position with Black-Scholes precision.

Strategy Builder
Configure any of 30+ strategies — from a simple Long Call to an Iron Condor or Double Diagonal — and instantly see the payoff diagram, Greeks, breakevens, and max profit/loss.
30+ strategies across Novice, Intermediate, Advanced, Expert
Live P&L payoff diagram — green profits, red losses
Delta, Gamma, Theta, Vega calculated per leg and summed
Editable strikes and premiums, Black-Scholes auto-pricing
Open Strategy Builder →
Iron Condor · AAPL · $185
Max Profit
$340
Max Loss
$660
Breakevens
$172 / $198
Net Credit
+$340
Δ
-0.02
Γ
0.002
Θ
+14.20
V
-0.84
Strategy Optimizer
Tell the optimizer your market outlook — bullish, bearish, neutral, or volatile — and it ranks the best strategies for your view, risk tolerance, and timeframe. Click any result to open it in the builder.
5 outlook modes: Strongly Bullish to Strongly Bearish
Ranks strategies by risk/reward fit for your view
Optional price target refines recommendations
One click to open any result in Strategy Builder
Open Strategy Optimizer →
Optimizer · Neutral view · 45 days
#1
Iron Condor
Earn premium while stock stays in defined range. Most popular neutral strategy.
Build →
#2
Iron Butterfly
Higher credit than condor, tighter profit zone near ATM.
Build →
#3
Calendar Spread
Collect time decay differential between near and far expiry.
Build →
Unusual Options Flow
Monitor large and unusual options activity across the market, sorted by transaction value. Filter by sentiment, type, or size to find the trades that matter — MASSIVE blocks, sweeps, and unusual multi-leg activity.
Sorted by dollar value — biggest trades first
Filter by Bullish, Bearish, CALL, PUT, MASSIVE, LARGE
Shows ticker, strike, expiry, premium, IV, sentiment
Feed with timestamps
Open Unusual Flow →
Unusual Flow · Filtered: MASSIVE
TickerTypeStrikeValueSentiment
NVDACALL$900$4.2MBullish
SPYPUT$480$3.1MBearish
AAPLCALL$200$1.8MBullish
Options Chain
A full options chain with calls on the left, puts on the right, and strikes in the center. Generated from Black-Scholes with historical volatility. Switch between 7 expiry dates. ATM strikes highlighted automatically.
7 expiry tabs: 7, 14, 21, 30, 45, 60, 90 days
Bid, ask, last, IV%, delta, open interest per strike
ATM row highlighted — ITM/OTM visually distinct
Vol skew modeled — higher IV on OTM puts
Open Options Chain →
Options Chain · TSLA · 30 Days7 expiries
CALLSSTRIKEPUTS
18.4018.600.621800.100.110.38
12.2012.450.541900.520.540.46
7.307.500.44200★1.551.600.54
3.803.950.322104.104.250.66
1.601.700.212208.909.100.78
Options Outlook
Combine put/call ratio, unusual flow sentiment, and delta-weighted positioning into a single market outlook score. See probability-based price targets and run custom “what if” scenarios.
Composite sentiment gauge: Bullish / Neutral / Bearish
Probability bars for ±3%, ±5%, ±8%, ±10%, ±15%, ±20% moves
Custom price + date calculator with probability estimate
Period selector: 1D, 3D, 1W, 2W, 1M, 3M, 6M, 1Y
Open Options Outlook →
Options Outlook · AAPL · 1 Week
Market Sentiment
Moderately Bullish
65% bullish signal strength
±3%
78% prob
±5%
62% prob
±10%
34% prob

Ready to level up your research?

Create your free account in 10 seconds. No credit card required.