Loss limits
Daily loss, overall loss, trailing drawdown and how equity is measured.
Review drawdown, targets, trading-day conditions and payout questions by provider and nominal account size. Every snapshot has a source, review date and explicit uncertainty where the provider’s rules are product-specific.
Daily loss, overall loss, trailing drawdown and how equity is measured.
The target, phase structure and whether consistency or best-day rules apply.
Minimum days, deadlines, inactivity rules and session cutoffs.
News, overnight, weekend, copy trading, expert advisors and strategy restrictions.
Eligibility, timing, profit split, caps, resets, refunds and verification requirements.
Legal entity, service availability, simulated versus live trading and consumer protections.
Open a provider and account size to inspect normalized fields, effective dates and source notes.
Open database →02 · ComparePut drawdown or targets side by side while keeping the model and effective date visible.
Open comparator →03 · UnderstandLearn how to interpret trailing limits, payout conditions and simulated-program terms.
Read guides →Prop evaluations, simulated programs and regulated brokerage accounts are different products. We do not estimate passing odds, recommend a provider or promise returns. Read the source, risk notice, fees, restrictions and jurisdiction information before making a payment or deposit.