Iris reads live indicators, options flow, news, and the macro calendar to call BUY / SELL / HOLD on any ticker, then sizes and fills against each paper account's own risk config. Equities and crypto, one dashboard.
A full exit plan on every call: stop-loss, take-profit, time stop.
Exit-checker and inference poll run on a schedule, every account sized independently.
P&L, trade history, and equity curve per paper account.
Each paper account carries its own risk config — Iris sizes and fills against it independently, call by call.