Learn how to track risk, review execution discipline, and find behavioral edge using a trading journal.
Learn how to choose the right analytical trading review tools, understand the limits of historical backtests, relive execution decisions in trade replay, and uncover behavioral leaks in your trading journal.
Learn how drawdown recovery math works, why deeper losses make recovery exponentially harder, and how to audit your behavior during trading drawdowns.
Learn how to analyze exit efficiency, measure MFE/MAE parameters, identify fear-based early exits versus hope-based late exits, and patch profit leakage in your trading journal.
Learn how position sizing dictates capital survival, why profitable strategies fail when sized incorrectly, and how to find your optimal risk threshold.
Calculate how much revenge trading costs your account. Learn how to identify revenge trades, measure the damage, and build a simple rule to stop emotional re-entry after losses.
Learn how to review your last 20 trades to find your best setup, worst mistake, rule-breaking pattern, and real trading edge without relying on memory or random screenshots.