Most traders lose to noise, hype, and emotions. Mayuron gives you structured analysis, clear context, and a system you can follow — every single day.
| R:R Ratio | Win Rate Needed | Expectancy/Trade | Result |
|---|---|---|---|
| 1:1 | 50% | $0 | Break Even |
| 1:2 | 34% | +$0.34 | ✓ Profitable |
| 1:3 | 25% | +$0.75 | ✓ Strong |
| 1:4 | 20% | +$1.00 | ✓ Excellent |
| 2:1 | 67% | -$0.02 | ✗ Risky |
Share your strategy or ruleset. We translate it into a clear written scope, timeline, and fixed quote before a line of code ships. No surprises.
Entries, exits, filters, risk %, sessions — documented so both sides agree.
You get usage rights as agreed; install notes + optional NDA on request.
We stay reachable for delivery questions — not a ticket black hole.
“Institutional-style clarity: what we build, what it costs, and when it lands — before you pay for the build.”
Mayuron Capitals desk standard
Weekly market brief and product updates — no spam.
Institutional-grade market intelligence, trading tools, and education — built for disciplined traders worldwide.
At Mayuron Capitals, our mission is to democratize access to professional-grade trading intelligence. We believe every trader — from beginners to experienced professionals — deserves structured analysis, powerful tools, and transparent education to navigate the financial markets with confidence and discipline.
No false promises. We show real data, honest performance, and clear risk disclosures.
We teach structure over speculation — trading with a plan, not on emotion.
Every product and service is designed to teach, empower, and build long-term trading skills.
Continuously developing cutting-edge tools and strategies for the evolving markets.
Thousands of traders worldwide trust Mayuron Capitals for their daily analysis and trading tools. Join us today and take your trading to the next level.
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Pair-by-pair bias, liquidity, and key levels for today's session — select a pair below.
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A high-precision algorithmic execution engine designed for Prop Firm challenges. Utilizes pure mathematical derivations of liquidity sweeps and Fair Value Gaps (FVGs) to identify institutional order flow without the lag of standard indicators.
ASASASAS
ASASAS
A high-precision algorithmic execution engine designed for Prop Firm challenges. Utilizes pure mathematical derivations of liquidity sweeps and Fair Value Gaps (FVGs) to identify institutional order flow without the lag of standard indicators.
A high-precision algorithmic execution engine designed for Prop Firm challenges. Utilizes pure mathematical derivations of liquidity sweeps and Fair Value Gaps (FVGs) to identify institutional order flow without the lag of standard indicators.
Backtested data. Past performance does not guarantee future results.
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Passed my Nova Funding 100k challenge in 8 days using the Institutional Striker. The risk management logic is the best I've seen.
Reply: Glad to hear it! Good luck with the funded stage.
ASASASAS
Mastering Supply & Demand
Mastering Supply & Demand — premium institutional-grade program covering order flow in depth.
This course completely transformed my trading. The module on order blocks alone was worth the entire price. I went from consistently losing to having 3 profitable months in a row.
Crystal clear explanations. The live trade walkthroughs helped me understand exactly how to apply theory in real market conditions. Highly recommended for anyone serious about trading.
Great structured approach to learning. I especially liked the risk management module. Would have loved more examples on indices, but overall excellent content.
Best investment I made in my trading career. The community access and downloadable resources are a huge bonus. Support team is responsive and helpful.
Solid curriculum covering all the essentials. The backtesting module opened my eyes to how I should be validating strategies before going live.
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Forex sizing, Indian markets, SIP, compounding, and a quick psychology check.
Trading involves significant risk. This calculator is for educational purposes only. Always verify with your broker's specific pip values.
Prop firms let you trade their capital after you pass an evaluation. Below: how programs differ, what you pay, how rules actually work, how to prepare, what happens after funding — plus our demo calculator. Always confirm numbers on each firm’s official site.
A funded account allows you to trade with a proprietary firm's capital instead of your own money. You pass a trading challenge that tests your skills — then the firm gives you a real account with their money. You keep 70-90% of the profits.
Firms package evaluations differently. The labels vary by marketing, but these are the usual shapes.
Phase 1 profit target + drawdown rules, then Phase 2 (often smaller target). Most common. Higher challenge fee, stricter consistency checks on some desks.
Single combined target and drawdown window. Fewer stages, but room for error is smaller — risk per trade matters more.
Pay for immediate access with rules from day one — no “pass” phase, but ongoing consistency and drawdown limits still apply. Read payout and scaling terms carefully.
The evaluation fee is not your trading loss cap — it’s the price of access. Plan for these line items before you start.
“Max drawdown” is not one universal formula. These are the usual variants — your dashboard enforces one specific version per program.
| Concept | Plain English |
|---|---|
| Daily loss limit | Cap on how much equity can drop from the day's starting balance (or session). Hitting it often locks trading until next day or fails the challenge. |
| Static max drawdown | Drawdown measured from the initial account balance — buffer does not move up as you profit unless rules say so. |
| Trailing drawdown | High-water mark moves with your best equity — the "floor" can rise when you profit, tightening room below peak. |
| Consistency / min days | Some phases require N active days or forbid "one lucky trade" passes — check minimum lots or profit distribution rules. |
Profit target is visible; the hidden test is whether you can follow a risk system under pressure.
Position size vs. stop distance, avoiding revenge trades after a loss, staying inside daily and total limits.
Repeatable setups, journaling, and avoiding rule violations (news windows, weekend holds if banned, copy trading bans).
Smooth equity curve vs. one spike — some programs cap single-trade profit share or require minimum trading days.
Funded is not “free money” — it’s a live account with compliance and payout mechanics.
Split (e.g. 80/20) applies to withdrawable profit after fees. Minimum withdrawal, KYC, and schedule vary — read the payout policy before your first trade.
Many programs increase allocation after consistent months — usually requires profit targets, low drawdown, and sometimes a fee or review.
This page is educational only, not an offer or endorsement. Trading involves risk of loss; prop rules change — confirm everything on the official provider website.
No. You’re trading under the firm’s program rules and splits — it’s not the same as depositing your own funds at a retail broker, though execution may route through partner liquidity.
Depends entirely on the firm. Some allow EAs with restrictions; others ban automation. Check the rule PDF before attaching anything.
Usually immediate breach: evaluation fails or funded account is closed. Some firms offer discounted resets — not guaranteed.
Each desk models risk differently. Higher targets often pair with stricter consistency or shorter time windows.
Generally better to master one rule set. Parallel challenges can confuse discipline unless you’re explicitly running independent systems.
The grid below uses round numbers often seen in the industry — not a guarantee of any specific firm’s terms.
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|---|---|
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