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Understand slippage and spread impact for active traders, including liquidity, order types, and simple execution checks for beginners.
Understand risk of ruin in trading, including why edge is not enough, how sizing changes survival, and which beginner rules matter first.
Learn loss streak management for new traders, including cooldowns, size reductions, review rules, and when to stop trading for the day.
Learn small account risk rules for new traders, including trade size, stop discipline, daily limits, and how to avoid forced growth mistakes.
Learn simple account blow up prevention rules for new traders, including risk caps, daily stops, cooldowns, and recovery discipline.
Understand profit factor for trading, including the formula, sample-size limits, and why it should be reviewed with drawdown and risk.
Learn what R multiple means, how traders calculate it, and why measuring outcomes in risk units can make trade review clearer.
Learn what to track in a trading journal, which fields matter first, and how traders use review notes to improve decision quality.
Understand multi time frame analysis for beginners, including higher-time-frame context, entry timing, conflicting signals, and risk planning.
Learn how chart replay helps traders practice entries, review levels, test setups, and build discipline before risking real money.