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Results for “risk management”
6 articlesStop-Loss Placement: Practical Methods and Common Mistakes
Place stops around trade invalidation and market structure, then calculate position size so the planned loss stays controlled.
Leverage and Margin: A Beginner’s Guide
Understand notional exposure, required margin, liquidation risk and why higher leverage does not make a trade more profitable.
Position Sizing: How Much Should You Risk Per Trade?
Calculate position size from account equity, planned risk and stop distance instead of choosing a trade size by instinct.
Prop Firm Consistency Rules: How They Affect Your Strategy
Learn how best-day limits and consistency calculations influence challenge completion, payout eligibility and trading behaviour.
Prop Firm Drawdown Rules: Daily, Static and Trailing Loss Limits
Understand how daily loss, static drawdown and trailing drawdown are calculated—and why equity matters as much as closed balance.
What Is a Prop Firm and How Does Funded Trading Work?
A clear introduction to prop firm evaluations, simulated funded accounts, trading rules and the questions every trader should ask before paying for a challenge.