Trading strategies, market analysis, platform updates, and the thinking behind how we build Mizora.
Position sizing, stop losses, and risk-per-trade rules that keep you within evaluation parameters.
Key macro events, central bank decisions, and crypto catalysts heading into the second quarter.
A breakdown of how we score trader performance beyond simple profit targets.
Funding rates, leverage mechanics, and when to choose perpetuals over spot positions.
The metrics that matter and how structured journaling improves decision-making over time.
A guide to trading event-driven markets on the Mizora platform with real examples.
How to handle losing streaks without breaching your maximum drawdown limits.
Multi-timeframe analysis, drawing tools, and advanced order types now available.
Mental frameworks for staying disciplined during the evaluation phase and avoiding tilt.