NoVo pairs AI market intelligence with algorithmic execution. The AI reads live charts, detects market regime and retail psychology, adapts its own trading laws every week, and gates every entry. The algo fires — sizing, routing, exits — without hesitation or second-guessing.
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You held a loser too long because you were sure it would come back — then gave up a day's P&L in one trade.
You missed the entry watching it move without you, then chased it at the worst possible price.
You can't sit at the screen from 9:30 to 4 — but SPY 1DTE options demand full attention. Step away and you're either missing the entry or riding a loss you don't know about yet.
You took a revenge trade after a loss, broke your own rules, and made the day significantly worse.
These aren't knowledge problems. They're execution problems. NoVo — driven by live AI market intelligence — removes the execution layer from your hands entirely.
NoVo is a serious system. It's the right fit for the right person.
NoVo doesn't trade a watchlist. Every signal layer, every scoring weight, every exit rule is tuned specifically for SPY 1DTE options — and nothing else.
SPY options trade billions of dollars in daily volume. Tight spreads, massive open interest, and institutional participation mean NoVo's orders fill cleanly at the prices it targets — not where the market wants to push a thin book.
SPY's gamma exposure structure is readable. Dealer hedging flows, gamma flip zones, and institutional walls repeat in patterns NoVo's signal engine is tuned to recognize. The system uses 0DTE open interest as a structural input — but never trades 0DTE contracts, avoiding overnight exposure entirely.
1DTE options carry enough premium to make scalping worthwhile, decay fast enough to punish holding losers, and expire the same day — eliminating overnight gap risk entirely. It's the instrument class that rewards fast, disciplined execution. Which is exactly what NoVo provides.
NoVo removes the failure modes that erode trader performance — hesitation, revenge trades, emotional exits — and replaces them with a consistent, rules-based execution framework powered by four AI layers running simultaneously.
Tape imbalance (50%), RVOL (30%), and gamma proximity (20%) combine into a real-time Apex Score (0–100) every 5 seconds.
Four entry tiers — Confluence, Mid Override, High Conviction, Nuclear — each with a different position size multiplier (0.75x to 1.5x). Entries only fire when score, AI bias, and tape direction all align.
A Multi-Armed Bandit algorithm continuously tests three order strategies — Midpoint Passive, Chase & Replace, Aggressive Sweep — and exploits whichever produces the best fills in current conditions.
Adapts to VIX and spread conditions dynamically. The system gets better fills the longer it runs.
Exits execute in strict priority: Manual Liquidate → Structural Reversal → AI Bias Counterpressure → Hard Stop → Trailing Exit → Breakeven Saver → TP2 → TP1.
TP1 (default 15%) sells half, lets a runner trail. Hard stop default is -12%. Breakeven saver exits if a peak gain of 8%+ pulls back to 2%. Math dictates exits — not emotion.
NoVo doesn't trade without its AI. Four intelligence layers run simultaneously — reading the market, modeling human trader psychology, detecting macro regime shifts, and rewriting its own rules every week based on real outcomes. Pull the AI and the system goes dark.
Every 3 minutes, NoVo generates a live SPY chart — rendered with MACD, EMA 9/21, VWAP, RSI, liquidity pools, and key levels — and sends it to your AI provider for a structural read. That directional bias is a hard gate on every entry. No bullish read, no long. No bearish read, no short.
On high-volatility events (RVOL ≥ 2.5x), it accelerates to 1-minute reads. A special Opening Bell Primer fires at 9:25 AM before the market opens. Bias decays automatically — stale after 20 minutes, forced neutral after 45.
Every Friday, NoVo compiles the full week of trade data and sends it to the AI for deep analysis. The AI identifies what worked, what failed, and why — then synthesizes those lessons into permanent trading laws that govern all future behavior. These laws accumulate. They're injected into every future AI context.
This isn't backtesting on historical data. The system is evolving from its own live market experience, session after session. It gets sharper every week with zero input from you.
Every 5 minutes, a dedicated AI layer synthesizes the current retail psychology state: FOMO, CAPITULATION, MOMENTUM_BUILDING, CHOP, or NEUTRAL. Each state carries a specific behavioral fingerprint that shows up in tape flow and option activity.
When retail is chasing (FOMO) or panic-selling (CAPITULATION), that state becomes a signal input. In CHOP conditions, confluence entries are suppressed 50% to avoid noise. NoVo trades with awareness of crowd psychology — not against it blindly.
A fourth AI layer runs macro regime detection continuously, integrating VIX (fear/complacency thresholds), HYG credit stress, and DXY currency pressure to classify the session as RISK-ON, RISK-OFF, CHOP, or MIXED. Each regime adjusts NoVo's behavior automatically.
The Whale Sensor detects institutional option sweeps at specific strikes and injects them into the macro thesis. Overnight ES/NQ futures drift frames the directional lean before the open. NoVo sees the market the way institutions do.
Every component purpose-built for SPY 1DTE options trading.
Redis RAM cache for live-session recall, SQLite for permanent trade history, mastery rules, and weekly reports. Every trade recorded — entry, exit, scores, market context. Survives restarts, machine migrations.
Options chain polled every 5 seconds for net gamma exposure and flip zones. 15,000 live ticks processed in RAM continuously — RVOL, imbalance, and velocity calculated from raw tape, not candle approximations.
Daily max loss circuit breaker halts all trading and liquidates positions instantly. Profit goal circuit breaker banks the day. Position-level hard stops. Tape spoof filter requires 3 consecutive aligned windows before confirming direction. Automatic end-of-day liquidation.
Full PWA accessible from any device via Tailscale HTTPS. Three tabs: Signal & Trigger (live Apex Score, regime, RVOL, GEX), Manage Risk (positions, circuit breakers, risk matrix), OPS View (trade log, AI intelligence matrix, live chart sensor feed).
A parallel invisible trade log records the hypothetical opposite side of every trade — if the shadow book outperforms in a specific regime, it signals threshold drift. Every Sunday at 7 PM, a 60-day backtest auto-recalibrates Apex entry floors with no restart required.
Risk matrix, Apex thresholds, position sizing, TP/trail levels, circuit breakers — all adjustable from the dashboard without touching code. Changes apply on the next scan cycle. The Snap Vision button forces an immediate AI chart read outside the 3-minute cycle.
Delivered instantly to your email after purchase.
Unzip to C:\Trading Algo\NoVo v.fast. Rename .env.template to .env, paste your license key and API credentials.
Right-click setup.ps1 → Run as Administrator. Installs Python deps, Redis, NSSM, registers all three services, starts the system.
Open the dashboard, enter your broker and AI keys in Settings, click Auth — NoVo is running in paper mode immediately.
Total setup time: under 20 minutes
NoVo requires a few third-party accounts for data and brokerage. Here's everything laid out.
| Subscription Algo Tool | NoVo v.fast | |
|---|---|---|
| License fee | $99–199/mo | $249 once |
| Data & API costs | $155–200/mo (you still pay these) | $155–195/mo |
| Year 1 total | $3,348 – $4,788 | $2,109 – $2,589 |
| Year 2 onward | Same recurring cost every year | Data costs only — no license fee ever again |
Pay once and the system is yours. No monthly fees, no seat limits, no expiry.
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NoVo v.fast is a software tool for algorithmic trade execution. It is not financial advice. Past performance of any trading system does not guarantee future results. Options trading involves significant risk of loss and is not appropriate for all investors. You are responsible for all trading decisions, risk configuration, and capital management. Use in paper mode before deploying real capital.