| Purpose | Analyze and score the potential market impact of news events to inform trading decisions, position sizing, and risk management |
| Core Function | Processes news events by categorizing type, assessing historical impact patterns, evaluating timing factors, and generating impact scores to help traders prepare for and react to market-moving news |
| Rbi Monetary Policy | Bi-monthly (6 times per year) • Usually announced 10 AM |
| Union Budget | Annual (February 1) • 11 AM presentation |
| Quarterly Results | Every quarter (earnings season) |
| Sebi Announcements | 6-8/10 depending on scope • Often after market hours |
| Us Fed Fomc | Usually 11:30 PM IST (next day impact) • 8/10 for Nifty, higher for IT, global sensitives |
| Crude Oil Moves | India is major importer • Significant if >3% daily move |
| China Data | Affects metals, global growth outlook |
| Us Jobs Data | Usually first Friday of month (6:30 PM IST) • 6/10 for Indian markets • Via Fed expectations, risk sentiment |
| Geopolitical Events | Variable, can be 10/10 for major events • Sudden, unpredictable, high volatility |
| Pre Market | Before 9:15 AM • Gap up/down at open • Adjust orders before market opens |
| Market Hours | 9:15 AM - 3:30 PM • Immediate price reaction • Real-time adjustment needed |
| Post Market | After 3:30 PM • Gap next day • Overnight risk consideration |
| Weekend News | Monday gap • Weekend hedging consideration |
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