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Risk Management Mastery
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Never risk more than 1–2% of capital per trade
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Use fixed stop-loss levels, don’t average losses
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Avoid high leverage unless you’ve earned it
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Learn to think like a portfolio manager, not a gambler
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Trading Psychology: Control the Mind, Control the Trade
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Build discipline even after back-to-back losses
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Detach emotionally from profits and losses
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Reset mindset after a bad trade or bad day
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Scaling Capital Step-by-Step
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How to grow from ₹5,000 to ₹50,000 and beyond
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When to increase position size
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Avoid pressure while scaling — focus on process over outcome
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Clarity-Focused Growth Roadmap
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Know when to switch from paper trading to real capital
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Set weekly, monthly performance benchmarks
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Move from learning → earning → compounding with confidence