
Your guided journey through stocks, crypto, and precious metals. Learn how markets work, understand trends, and build confidence with bite-sized lessons crafted for every experience level.
Choose a learning track tailored to your experience level. Each pathway guides you from foundational concepts to advanced market analytics with hands-on modules.
Build a solid foundation in financial markets. Learn essential terminology, market types, and how exchanges operate so you can confidently start your investment journey.
Deepen your market knowledge with technical analysis, portfolio diversification, and risk management strategies. Apply concepts through simulated trading scenarios.
Master predictive modeling, algorithmic strategies, and advanced portfolio optimization. Learn to interpret AI-driven market forecasts and build data-backed investment theses.
Build a solid understanding of the core financial concepts that power Maket-Plan. Each topic below includes a clear definition, real-world example, and trend visualization.
A stock market is a public marketplace where shares of publicly traded companies are bought and sold. When you buy a share, you own a small piece of that company. Stock prices fluctuate based on supply, demand, company performance, and broader economic conditions.
Real-World Example
If you buy 10 shares of a company at $50 each ($500 total) and the price rises to $65, your investment is now worth $650 — a 30% gain. Major exchanges include the NYSE, NASDAQ, and Tokyo Stock Exchange.
Ready to apply these concepts to real-time market data?
Explore Live Markets→Master the fundamentals of smart investing with animated diagrams and structured lessons on diversification, volatility, and trend analysis.
Spread your capital across multiple asset classes — stocks, bonds, commodities (gold/silver), and digital assets (BTC). A well-diversified portfolio reduces single-asset shock. Historically, a 60/40 stock-bond split has delivered 7-8% annualized returns with lower drawdowns than an all-equity portfolio.
Volatility measures how wildly an asset's price swings. The VIX index — often called the "fear gauge" — tracks S&P 500 volatility expectations. High volatility means larger potential gains but also larger potential losses. Use stop-loss orders (e.g., set at -7%) and position sizing (risk no more than 2% of capital per trade) to protect your portfolio.
Trend analysis identifies the prevailing market direction using tools like moving averages (SMA 15, SMA 50, SMA 200), MACD crossovers, and RSI (Relative Strength Index). An asset trading above its SMA 200 is in a long-term uptrend; below indicates a downtrend. Combine multiple timeframes — daily for entry, weekly for trend confirmation.
Maket-Plan processes live market data through a three-stage pipeline to deliver actionable forecasts for shares, Bitcoin, silver, and gold.
Maket-Plan ingests live market feeds across equities, Bitcoin, silver, and gold. Streaming price data, volume metrics, and sentiment indicators are collected every second from trusted exchanges and financial APIs.
Our AI engine compares current data against decades of historical patterns. ML models detect correlations across asset classes — identifying how gold movements historically predict BTC sentiment or how silver tracks industrial demand cycles.
Combining live data with historical pattern matches, the engine generates probabilistic forecasts. Each prediction includes a confidence score and alternative scenarios, so you can weigh the evidence before making investment decisions.
Every Maket-Plan forecast includes a confidence rating from 0–100%. Predictions above 80% are labeled "High Confidence" and include supporting evidence from historical pattern matches so you understand the reasoning behind each signal.
Maket-Plan's prediction engine processes billions of data points across equities, precious metals, and cryptocurrency — delivering forecasts you can understand, evaluate, and act on with confidence.
Explore Live PredictionsExplore glossaries, in-depth articles, hands-on tutorials, and verified data sources — all organized by difficulty level to match your expertise.
A financial market condition where prices are rising or expected to rise, typically over a sustained period.
A market condition where securities prices fall 20% or more from recent highs, often accompanied by widespread pessimism.
The total dollar value of a company's outstanding shares, calculated by multiplying share price by total shares outstanding.
A technical indicator that smooths price data by creating a constantly updated average price over a specific time period.
A momentum oscillator measuring the speed and change of price movements on a scale of 0 to 100.
A measure of a stock's volatility in relation to the overall market, used in the Capital Asset Pricing Model.
A risk-adjusted return metric that measures excess return per unit of risk, helping investors compare investment performance.
The price-to-earnings ratio compares a company's stock price to its earnings per share, indicating how much investors pay per dollar of earnings.
A financial ratio showing how much a company pays in dividends each year relative to its stock price, expressed as a percentage.
A real-time market index representing the market's expectation of 30-day forward-looking volatility, often called the "fear gauge."
Get clear answers to common questions about markets, investing, and how Maket-Plan helps you make informed decisions.
Our community and support team are here to help you navigate the markets with confidence.
You’ve mastered the fundamentals. Now put your knowledge into action with real-time market data, AI-powered predictions, and a dashboard built for confident decision-making.
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