Live Market Data — Informational Context Only
Live market data is displayed for informational context and reflects current market conditions. This data does not represent trading signals, recommendations, or performance outcomes.
Choose the risk tier that aligns with your trading discipline and risk tolerance.
All tiers include full access to the platform, broker integrations, and support. Pricing is based on risk configuration, not performance.
Lowest risk, highest risk controls
Low-to-moderate risk
Balanced risk/reward
Higher risk tolerance
Highest risk tolerance
per year
| Feature | Ultra-Conservative | Conservative | Moderate | Aggressive | Very Aggressive |
|---|---|---|---|---|---|
| Probability Threshold | 85%+ (Simulated) | 75%+ (Simulated) | 65%+ (Simulated) | 55%+ (Simulated) | 45%+ (Simulated) |
| Position Size Range | 0.5-1% per trade | 1-2% per trade | 2-3% per trade | 3-5% per trade | 5-10% per trade |
| Max Drawdown Limit | 5% | 10% | 15% | 25% | 35% |
| Volatility Profile | Low volatility tolerance | Low-to-moderate tolerance | Moderate tolerance | High tolerance | Very high tolerance |
| Asset Classes | Stocks only | Stocks, ETFs | Stocks, ETFs, Forex | Stocks, ETFs, Forex, Crypto | All supported (Stocks, Crypto, Forex, Derivatives) |
| Support | Email support | Email + chat support | Priority email + chat support | Priority support + phone support | 24/7 priority support + dedicated account manager |
Trading and automated trading involve substantial risk of loss. Past performance does not indicate future results. The platform does not guarantee outcomes or performance.
Pricing is based on risk configuration, not expected returns. Higher-tier configurations do not guarantee better results—they simply allow for different risk parameters.
You are solely responsible for all trading decisions and configurations. The platform provides software tools only and does not provide investment advice.
All pricing is in USD. Billing cycles are monthly, annual, or one-time lifetime. Refunds are processed within 30 days of purchase. No performance guarantees are implied by tier selection. Trading risk increases with tier level due to higher position sizing and lower probability thresholds, not due to improved outcomes.