AI Trader Command Center

AI-assisted trade research, paper tickets, and risk-first decision support.

Version 1: no live trade execution

Prepared for review, not execution - Live market snapshot

GM Trade Cockpit

Data source: Live market snapshot - Last updated: 5/19/2026, 6:11:14 AM
Risk: 2.8/10Confidence: 54.0Opportunity: 54.5Tail Risk: 2.9/10Technical: 66.0Fundamental: 34.0Strategy Fit: 56.0Quality Gate: Pass

This page prepares a reviewable research ticket only. Scores and probability estimates are ranking tools, not profit guarantees.

User guidance

Trade Cockpit Review Order

Mode: Review only
Next best action

Read the quality gate, max loss, contract comparison, and invalidation point before preparing a paper ticket.

Trust this when

The selected trade beats alternatives on liquidity, POP, expected value, risk, and signal agreement.

Slow down when

The recommendation depends on stale data, the contract spread is wide, or the bear case invalidates the setup quickly.

Live Market Context

Ticker
GM
Company
General Motors Company Common Stock
Price
$73.10
Market Cap
65.9B
Average Volume
6.6M
Relative Volume
0.86x
Sector
Industrials
Beta
1.00
RSI
34.9

Paper Ticket Prep

Recommended Action
AVOID
Suggested Position Size
1.00%-1.50% account risk
Entry
$73.10 to 74.20
Stop Loss
$68.71
Take Profit
$81.87
Time Horizon
2-12 weeks

Recommendation Output

Trade Type
Stock swing trade
Stock or Options
stock
Specific Contract, if options
N/A
Expiration
N/A
Strike
N/A
Premium
N/A
Bid/Ask Spread
N/A
Open Interest
N/A
Volume
N/A
Delta
N/A
Theta
N/A
Implied Volatility
N/A
Breakeven
N/A
Max Profit
N/A
Max Loss
N/A
Probability of Profit
N/A
Expected Value
N/A
Invalidation Point
Invalidate if GM loses its moving-average trend, breaks support, or risk score rises above allowed settings.
Final Recommendation
Avoid for now; Passed liquidity, risk, probability, strategy-fit, and event-risk gates.

Score Explanation

Opportunity

54.5

Weighted blend of technicals, sentiment, options quality, liquidity, fundamentals, and congress relevance.

Confidence

54.0

Signal agreement, data quality, historical pattern strength, and liquidity quality.

Technical

66.0

Trend, momentum, RSI, relative volume, VWAP, and breakout behavior.

Fundamental

34.0

Quality, growth, valuation, analyst context, and balance of business strength.

Liquidity

72.0

Share volume and option-chain tradability.

Options Quality

0.0

Open interest, volume, spread, delta fit, and IV rank.

Risk

28.0

Displayed here on 0-100 scale; lower is better.

Tail Risk

29.0

Gap risk, volatility, event risk, and ruin avoidance.

Quality Gates

  • Passed liquidity, risk, probability, strategy-fit, and event-risk gates.
Liquidity check: Pass
Risk under max: Pass
Confidence acceptable: Pass
Options volume/OI: Pass

Options Contract Comparison

No option chain is available for this ticker yet, so this idea is evaluated as a stock trade.

Scenario Analysis

MoveStock PriceStock P/LOption Est. P/LRead
-10%$65.79-$7.31N/AStress case
-5%$69.45-$3.66N/AStress case
0%$73.10$0.00N/ABase mark
+5%$76.76$3.66N/AUpside case
+10%$80.41$7.31N/AUpside case

Alternative Strategies

Stock swing trade

Current pick

Cleaner risk using shares with stop near $68.71.

Long call

Unavailable

No call contract in the current chain.

Long put

Unavailable

No put contract in the current chain.

Covered call

Needs shares

Requires owning 100 shares and suitable call liquidity.

Cash-secured put

Unavailable

Needs a liquid put chain and cash reserved for assignment.

No trade

Current pick

Use when risk, catalyst, or confidence does not justify capital.

Why This Trade

  • Technical score is 66.0/100 with up moving-average trend and 0.86x relative volume.
  • Sentiment is 0.0 on a -100 to +100 scale.
  • Stock setup scored on trend, sentiment, fundamental quality, and liquidity.
  • Options quality score is 0.0/100 after liquidity, spread, delta, and IV checks.
  • Congress relevance score is 54.4/100; disclosure delay must be reviewed.

Why Not This Trade

  • Risk score is 2.8/10 and tail-risk score is 2.9/10.
  • Passed liquidity, risk, probability, strategy-fit, and event-risk gates.
  • No near earnings date is currently flagged in mock data.
  • Positive sentiment may already be priced in.

Bull / Bear / Base

  • GM benefits if trend strength persists, volume confirms, and constructive sentiment attracts follow-through. Congressional relevance adds 54/100 context, not a standalone reason.
  • The trade weakens if GM loses trend support, sentiment deteriorates from 0, or the 2.8/10 risk profile rises due to volatility, events, or liquidity.
  • Signals passed V1 quality gates and justify a prepared trade ticket only; user approval remains required.

Catalysts

  • Recent congressional disclosure requires freshness review

Sentiment And News

No recent ticker-specific headlines are available from the configured providers.

Congress And Insider Context

David A Perdue , Jr

sale

$100,001 - $250,000 - transaction 2020-04-14 - reported 2020-04-14 - Senate N/A

David A Perdue , Jr

purchase

$1,001 - $15,000 - transaction 2020-03-04 - reported 2020-03-04 - Senate N/A

David A Perdue , Jr

purchase

$1,001 - $15,000 - transaction 2020-03-18 - reported 2020-03-18 - Senate N/A

David A Perdue , Jr

purchase

$1,001 - $15,000 - transaction 2020-02-28 - reported 2020-02-28 - Senate N/A

David A Perdue , Jr

sale

$15,001 - $50,000 - transaction 2019-02-19 - reported 2019-02-19 - Senate N/A

David A Perdue , Jr

purchase

$15,001 - $50,000 - transaction 2018-10-10 - reported 2018-10-10 - Senate N/A

David A Perdue , Jr

purchase

$1,001 - $15,000 - transaction 2018-08-27 - reported 2018-08-27 - Senate N/A

David A Perdue , Jr

purchase

$1,001 - $15,000 - transaction 2018-07-25 - reported 2018-07-25 - Senate N/A