PulseDeck™
PROStrategy & Intelligence · HTTP Data · Pro Tier
Overview
PulseDeck is the unified analytics dashboard — a single window that aggregates the headline metrics from all 10 gamma and volatility modules into a 3-column card grid with non-discretionary strategy considerations generated by our ML-powered analysis engine. One HTTP request loads every card, giving you the complete gamma intelligence picture at a glance.
Each card surfaces the headline metric from its corresponding module: GammaPulse shows GEX totals, VolCube shows walls, PinMap shows magnet distance, ThetaForge shows theta, FlipTrack shows flips, SkewSentinel shows skew, FlowRate shows direction, EigenHedge shows status, VolEntropy shows concentration, and RegimeShift shows the current regime. At the bottom, a full-width strategy card presents the analysis summary and strategy considerations for your independent evaluation.
Non-Discretionary Advisory: All strategy considerations presented in PulseDeck are generated based on your inputs and delivered for your independent evaluation. You make all trading decisions. Ohey does not execute trades on your behalf. Learn how our models work →
Key Features
- 10 module cards: Each of the platform's gamma and volatility analytics modules represented as a summary card with its headline metric. All updated in a single HTTP request.
- Click-to-expand: Click any card to open its full dedicated window. PulseDeck serves as the launchpad — get the overview, then drill into the detail you need.
- Strategy consideration engine: Analyzes data from all 10 modules using a 16-model ML ensemble to present strategy considerations for your evaluation:
- Bull Call Spread / Bear Put Spread: When directional confidence exceeds 75%
- Long Call / Long Put: When directional confidence is 60–75%
- Iron Condor / Iron Butterfly: When neutral regime detected with confidence above 50%
- Long Straddle / Calendar Spread: When volatility expansion expected
- Wait: When signals are mixed or confidence is below threshold
- Strategy confidence & rationale: Each strategy consideration includes a percentage confidence score (0–100%) computed from a 6-factor agreement model and a written rationale paragraph explaining the analytical basis. See methodology →
- Efficient data loading: All 10 module metrics fetched in a single HTTP request, minimizing network overhead while maximizing analysis breadth.
- Tier enforcement: PulseDeck is gated to Pro tier with an upgrade prompt for lower-tier users.
- Connection status: WiFi icon and text badge (Live / Connecting / Error / Disconnected), spot price, last update time, and strike count.
- Guide Panel: Four-section overlay — What is PulseDeck, Card Overview, Quick Analysis Flow, and Pro Tips.
- AI-Generated Considerations: Analysis section below the strategy card presenting ML-derived insights for your independent evaluation. All outputs are non-discretionary — you decide whether and how to act.
Module Cards Reference
| Card | Headline Metric | Click to Open |
|---|---|---|
| GammaPulse | Net GEX (M) | GammaPulse → |
| VolCube | Top Wall, Type, Count | VolCube → |
| PinMap | Magnet Strike, Distance % | PinMap → |
| ThetaForge | Total Theta (K/day) | ThetaForge → |
| FlipTrack | Total Flips, Nearest Flip | FlipTrack → |
| SkewSentinel | Avg IV Skew | SkewSentinel → |
| FlowRate | Direction, Magnitude, Type | FlowRate → |
| EigenHedge | PC Status | EigenHedge → |
| VolEntropy | Entropy, Concentration | VolEntropy → |
| RegimeShift | Regime, Confidence % | RegimeShift → |
Strategy Engine
PulseDeck's strategy engine uses a 16-model ML ensemble evaluating data across a 7-layer algorithm stack (Gamma Topology, IV Surface Analysis, Greeks Exposure, Options Flow, Regime Detection, ML Predictions, and Skew Analysis) to present strategy considerations. The engine outputs one of the following strategy types for your evaluation:
| Strategy Type | Conditions (Automated Analysis) | What It Means |
|---|---|---|
| Bull Call Spread | Bullish regime detected, confidence > 75% | Defined-risk bullish strategy. The model identifies strong upside probability with capped risk. |
| Bear Put Spread | Bearish regime detected, confidence > 75% | Defined-risk bearish strategy. The model identifies strong downside probability with capped risk. |
| Long Call | Bullish regime detected, confidence 60–75% | Directional bullish with moderate confidence. Consider position sizing accordingly. |
| Long Put | Bearish regime detected, confidence 60–75% | Directional bearish with moderate confidence. Consider position sizing accordingly. |
| Iron Condor | Neutral regime, confidence > 50% | Range-bound strategy appropriate when volatility is expected to contract. |
| Iron Butterfly | Neutral regime, low vol entropy, tight expected range | Pinning strategy when price is consolidating near a gamma wall. |
| Long Straddle | Regime transition detected, vol expansion expected | Volatility expansion play when directional breakout is expected but direction is uncertain. |
| Calendar Spread | IV term structure anomaly detected | Time spread exploiting differences in implied volatility across expirations. |
| Wait | Mixed signals, confidence below threshold | Insufficient conviction for any strategy. The model recommends waiting for clearer signals. |
Strategy types are presented as considerations for your independent evaluation. Confidence scores reflect model agreement across 6 analytical factors, not guaranteed outcomes. Full methodology →
Use Cases
- Morning briefing: Start your trading day with PulseDeck. The 10 cards give you the complete gamma landscape in seconds. The strategy card presents analytical considerations to review alongside your own analysis.
- Intraday command center: Keep PulseDeck pinned as your primary monitoring window. It replaces 10 individual windows with one unified view. Click into individual modules when you need detail.
- Strategy cross-reference: Before placing a trade, review PulseDeck's strategy considerations alongside your own analysis. Use the model's output as one data point among several in your decision-making process.
How to Launch
Open the Window Launcher — click + or press L.
Search for PulseDeck or browse Strategy & Intelligence.
Click to launch and enter a ticker. The WebSocket connects and all 10 module cards populate simultaneously.
Review each card for headline metrics. Read the Strategy card at the bottom for the model's analysis and strategy considerations. Click any card to drill into its full window.
Data Source & Tier
Data is fetched via authenticated HTTP request from Ohey's analytics pipeline, aggregating the same metrics computed for the individual gamma and volatility modules. PulseDeck is on the Pro tier ($79/month) with tier enforcement. View pricing →
Confidence Score Methodology
Each strategy consideration includes a confidence score (0–100%) reflecting the degree of agreement across 6 analytical factors:
| Factor | What It Measures |
|---|---|
| Gamma Topology | Net GEX direction, magnitude, and dealer positioning |
| IV Surface Analysis | Implied volatility levels, z-scores, and term structure |
| Greeks Exposure | Delta, gamma, theta, and vega aggregate positioning |
| Options Flow | Real-time flow direction, size, and institutional vs. retail classification |
| Regime Detection | Current market regime (trending, mean-reverting, volatile, calm) based on IV z-score analysis |
| Skew Analysis | Put-call skew, term structure slope, and sentiment indicators |
The 16-model ML ensemble produces predictions across 4 time horizons: 0DTE (intraday), 1-Week, 2-Week, and 4-Week. Strategy type selection depends on the confidence level and detected regime. Confidence scores represent model agreement, not probability of profit. Past model performance is not indicative of future results.
Personalization by Risk Tolerance
Strategy considerations are filtered based on your risk tolerance setting (configured during onboarding or in Settings). Higher risk tolerance surfaces more strategy types and allows lower confidence thresholds:
| Risk Level | Min. Confidence | Time Horizons | Max Options Allocation |
|---|---|---|---|
| Very Low | 75% | 1W, 4W | 15% |
| Low | 70% | 1W, 4W | 20% |
| Moderate | 60% | 0DTE, 1W, 2W, 4W | 30% |
| High | 50% | All | 50% |
| Very High | 40% | All | 80% |
Risk tolerance settings affect which strategies and time horizons are presented, not the underlying model computations. You can change your risk tolerance at any time in Settings.
Related Windows
- RegimeShift — Deeper regime analysis expanding on PulseDeck's regime card
- Alert Manager — Set automated alerts based on PulseDeck insights
- GammaPulse — Real-time gamma pulse, one of the 10 embedded modules