FFUNDED Blog
Guides on prop firm trading, funded accounts, and getting funded for CFD, futures, and crypto.
Are Prop Firms Legit? How to Separate the Real Ones From the Rest
Are prop firms legitimate or a scam? How the business model actually works, what makes a firm trustworthy, the red flags to avoid, and a checklist to verify one.
Read more →Can You Actually Make a Living Trading with a Prop Firm?
An honest look at whether prop trading can replace a salary: the account size and consistency it takes, the risks nobody advertises, and how to test it safely.
Read more →Do Prop Firms Actually Pay Out? How to Verify Before You Buy
Do prop firms really pay traders? How payouts work, the reasons firms legitimately withhold them, the warning signs of one that will not pay, and how to check.
Read more →Funded Trading Programs vs Traditional Prop Firms Explained
How modern funded trading programs differ from traditional proprietary trading desks, how to tell a real firm from an evaluation platform, and which model suits you.
Read more →How Long Does It Take to Get Funded by a Prop Firm?
Realistic timelines for passing a prop firm evaluation, how each plan type affects the wait, why rushing fails, and how to reach a funded account faster safely.
Read more →How Much Money Can You Actually Make From a Prop Firm?
Realistic prop firm earnings by account size and profit split, the maths behind monthly payouts, what top traders actually produce, and why the big numbers mislead.
Read more →How Much Money Do You Need to Start Trading at a Prop Firm?
Exactly what it costs to start trading with a prop firm, what the fee covers, which account size to buy first, and the hidden costs to budget for before you pay.
Read more →How to Get Hired by a Prop Firm: What It Actually Takes in 2026
What it really takes to get hired by a prop firm in 2026, how the old employment route compares with modern evaluations, and the exact skills firms look for.
Read more →Is Prop Trading Worth It? An Honest Cost and Benefit Breakdown
A straight assessment of whether a funded trading account is worth the fee, who genuinely benefits, who should not buy one yet, and how to decide before you pay.
Read more →Prop Firm vs Trading Alone: Which Path Is Right for You?
An honest comparison of trading a funded prop account versus trading your own capital, covering cost, upside, risk, rules, taxes and who each route actually suits.
Read more →What's the Catch With Prop Firm Payouts? Conditions Explained
The real conditions attached to prop firm payouts: profit splits, cycles, minimum days, consistency rules, verification, fees and the clauses to read before you buy.
Read more →Prop Firm Affiliate Programs (2026): How Commission Really Works
How prop firm affiliate programs pay, what cookie windows and recurring commission really mean, and how to compare offers before you promote one.
Read more →How to Choose a Prop Firm (and Why We Built FFUNDED This Way)
A buyer's checklist for choosing a prop firm, built on the six rules that decide whether a passing account turns into money, and how FFUNDED answers each.
Read more →Can I Use an EA or Trading Bot on FFUNDED?
FFUNDED's automation policy in plain English: expert advisors and bots are not allowed unless your plan expressly permits it, plus how detection works.
Read more →Challenge Reset vs Funded Reset on FFUNDED
The difference between a free Challenge Reset and a paid Funded Reset on FFUNDED: when each is available, what each clears, and the drawdown cut-off.
Read more →FFUNDED Trading Rules Explained (With Examples)
A plain-English walkthrough of every FFUNDED trading rule: drawdown limits, breaches, strikes, resets, consistency and prohibited strategies, with examples.
Read more →The Best Forex Pairs to Specialise In (and How to Choose)
Why trading one to three forex pairs beats trading twenty: spread costs, session fit, personality fit, and a simple process for choosing your pairs.
Read more →Best Instant Funding Prop Firms 2026 (No Challenge)
How instant funding prop accounts work in 2026, what they cost against challenge accounts, which firms offer them, and how FFUNDED Instant Lite and Standard compare.
Read more →Best Prop Firms in 2026: An Honest Shortlist for CFD Traders
The prop firms worth shortlisting in 2026, compared on evaluation models, drawdown mechanics, profit splits and payouts, including where FFUNDED fits.
Read more →How to Build a One-Page Trading Plan (With Template)
Markets, sessions, setups, risk rules and review cadence on one page. A fill-in template, and why the plan must fit your evaluation's rules from day one.
Read more →Candlestick Patterns That Actually Matter for Traders
Why engulfing bars, rejection wicks and inside bars carry real information at key levels, and why most named candlestick patterns are noise you can skip.
Read more →How to Choose Your Prop Firm Account Size
Bigger funded accounts are not harder, only bigger. How to weigh fee against buying power and match account size to your experience and payout goals.
Read more →Common Trading Mistakes Beginners Make, Ranked by Damage
The five beginner trading mistakes that actually destroy accounts, ranked by damage done, each with a concrete fix instead of a platitude.
Read more →Confluence Trading Explained: Stack Reasons Not Signals
What confluence actually means, how many independent factors are enough, and how to avoid the indicator soup that curve-fits every chart after the fact.
Read more →Correlation Risk in Forex: The Hidden Way Traders Oversize
How correlated currency pairs turn three careful trades into one oversized dollar bet, and how to cap risk by bucket before the market adds it up.
Read more →Crypto Volatility and Risk Management for Traders
Why crypto's 24/7 volatility regime demands smaller positions than forex, how weekends interact with drawdown limits, and rules that keep accounts alive.
Read more →Planning Your Trading Day Around a Daily Loss Limit
A method for trading inside a daily loss limit: a personal stop under the official line, per-trade fractions, and worked numbers for 3% to 5% limits.
Read more →Demo to Funded: Why the Transition Fails and the Fix
Demo profits often vanish on funded accounts. What actually changes, how stakes rewire decisions, and a staged protocol for carrying your edge across.
Read more →Drawdown Recovery Math: Why Losses Cost More Than They Look
A 10% loss needs 11.1% to get back and 50% needs 100%. The recovery table, the maths behind it, and why shallow drawdowns are the whole game.
Read more →Evaluation vs Instant Funding: Which Route Fits You?
Evaluations cost less and test you first. Instant funding skips the test and can pay sooner. Costs, rules and payout speed compared honestly.
Read more →FFUNDED vs FTMO (2026): Rules, Payouts and Costs Compared
A side by side look at FFUNDED and FTMO in 2026, covering evaluation models, drawdown rules, profit splits, payout schedules and which trader each firm suits.
Read more →FFUNDED vs FundedNext 2026: Which Prop Firm Fits You?
FFUNDED and FundedNext compared on evaluation models, drawdown rules, profit splits, payout speed and account scaling, with an honest look at who each firm suits.
Read more →Your First Week on a Funded Account: A Day by Day Checklist
A concrete first-week protocol for a new funded account: platform checks, a sizing plan built from your actual loss limits, calendar prep and a daily log.
Read more →FOMO Trading: How to Beat It Before It Costs You an Account
Why chasing moves that already happened ruins your risk to reward, the late-entry maths in real numbers, and pre-commitment rules that keep you out.
Read more →Forex Sessions: When to Trade and When to Sit Out
How the Sydney, Tokyo, London and New York sessions shape spreads, volatility and setups, and how a funded trader picks the hours worth trading.
Read more →Futures Trading Sessions Explained: The 23-Hour Clock
How the futures day actually runs, overnight versus regular hours, the open and close, and where index volatility concentrates by session.
Read more →Futures vs CFDs: Which Market Should You Trade?
Futures and CFDs compared on venue, contract sizes, costs, sessions and gaps, with a practical way to decide which instrument fits your trading.
Read more →Gold Trading: What Moves XAUUSD and How to Size It
The forces behind gold prices, real yields, the dollar, risk events and central banks, plus a worked example of sizing XAUUSD on a loss limit.
Read more →Habits of Consistent Traders: Why Good Trading Looks Boring
What consistently profitable funded traders actually do: fixed sessions, mechanical size, journals, weekly reviews and execution with no highlights.
Read more →Handling Losing Streaks: The Maths Every Trader Should Know
How likely losing streaks really are at your win rate, how to tell normal variance from a broken edge, and a concrete protocol for red weeks.
Read more →How Do Prop Firms Make Money? The Honest Economics
Where prop firm revenue actually comes from, what payouts cost the firm, and a fair look at the claim that firms are designed for traders to fail.
Read more →How to Backtest a Trading Strategy That Holds Up Live
Sample sizes that mean something, honest fills with spread included, out-of-sample checks and forward testing, plus how overfitting sneaks in.
Read more →Index Trading Guide: US30, US100 and Event Days
What an index price really is, cash versus futures hours, weekend gaps, CPI and FOMC behavior, and the personalities of US30, US500 and US100.
Read more →Mean Reversion Trading: Where It Works and Where It Dies
Mean reversion earns in ranges and at exhausted extremes and dies in breakouts. The averaging-down trap, and why re-entry beats scaling into losers.
Read more →Micro vs Mini Futures Contracts: Sizing Explained
E-mini and Micro futures compared, dollar per point on ES, NQ and YM, and why micros give the sizing precision a drawdown limit demands.
Read more →Minimum Profitable Days: What the Rule Really Asks For
What counts as a profitable day, why prop firms require them, and how to plan an evaluation around the rule instead of being surprised by it.
Read more →Oil Trading Basics: WTI, Brent and What Moves Crude
WTI and Brent explained, the inventory and OPEC calendar that moves crude, EIA Wednesday behavior, and the spread and slippage respect oil demands.
Read more →1-Step vs 2-Step Prop Firm Challenges: Which Fits You?
One phase or two, one target or targets in sequence. How the two evaluation models differ on targets, drawdown, leverage, and cost, and who each suits.
Read more →Overconfidence After Winning Streaks: Why Hot Hands Go Cold
How a winning streak quietly raises your size and lowers your standards, the giveback pattern in numbers, and rules that keep size mechanical.
Read more →Part-Time Trading With a Full-Time Job: A Realistic Playbook
How to trade seriously around a full-time job: picking a session by timezone, end-of-day methods, why fewer hours can help, and honest expectations.
Read more →Patience in Trading: Why Waiting Is an Edge
Fewer, better trades beat constant action. What forcing setups costs in R, the opportunity cost myth, and how no-deadline evaluations change the game.
Read more →Pips, Lots and Leverage Explained: Forex Maths That Matters
What a pip is worth by pair and lot size, and why leverage changes your margin but never your correct position size. The numbers every forex trader needs.
Read more →Position Sizing on a Funded Account: A Practical Guide
How to size every trade from your risk, your stop distance, and your drawdown limits, with worked numbers for a funded account instead of gut feel.
Read more →Prop Firm Drawdown Explained: Daily Loss vs Max Loss
Daily loss and maximum loss are different limits measured different ways. What each one measures, when it resets, and how to trade inside both without a breach.
Read more →The Prop Firm Payout Process: From Profit to Bank Account
What must be true before a payout is approved: minimum profitable days, first payout timing, cycles, identity checks, and delays traders cause themselves.
Read more →Prop Firm Scaling Plans Explained: How Allocations Grow
How scaling plans grow a funded allocation, what firms review before increasing size, and where FFUNDED ceilings sit: $400K, $1M and $2M by family.
Read more →Which Prop Firms Pay the Highest Profit Split in 2026?
Profit splits across major prop firms in 2026, why the ceiling matters more than the starting number, and where the highest splits actually exist.
Read more →How to Read an Equity Curve: Shape and Warning Signs
What the shape of an equity curve reveals: steady grinds, streaky strategies and martingale signatures, plus the drawdown signals that mean size down or stop.
Read more →Refundable Prop Firm Fees Explained: When You Get It Back
How refundable evaluation fees work, which FFUNDED plans refund the fee, what triggers the refund, and why instant funding fees are not refundable.
Read more →Revenge Trading: What It Costs and How to Stop
Why losses push traders into bigger, worse trades, what that does to a funded account's drawdown, and the circuit breakers that actually work.
Read more →Risk of Ruin Explained: Surviving Losing Streaks
How risk per trade, win rate and drawdown lines interact, with worked streak maths showing why 0.5% risk survives runs that end 2% accounts.
Read more →Risk-Reward Ratio Explained: What 1:2 Really Requires
What a 1:2 risk-reward ratio really implies about win rate, the break-even table worth memorising, and the common ways traders misuse the number.
Read more →Scalping vs Day Trading vs Swing: Honest Comparison
Time cost, spread cost per unit of profit, psychological load and funded-rule fit, compared across scalping, day trading and swing trading.
Read more →Static vs Trailing Drawdown: The Prop Firm Rule Explained
The difference between static and trailing maximum loss in prop firm accounts, with worked examples showing how the same trades survive one and breach the other.
Read more →Stop Loss Placement: A Practical Guide for Funded Traders
Structure stops, ATR stops and money stops compared, why tight stops quietly lose more, and how to size the position to the stop instead of the reverse.
Read more →Support and Resistance: A Guide to Levels That Matter
How to find support and resistance levels worth trading, how they behave differently in trends and ranges, and where stops actually belong around them.
Read more →Swap and Overnight Costs in Forex: What Holding Really Costs
Why swap exists, when holding a currency pair pays or costs you, triple swap Wednesday, weekend gap risk, and how plan rules affect overnight positions.
Read more →Trade Management: Partials, Break-Even and Trailing Stops
What happens after entry decides your results. Partial profits, the hidden cost of moving to break-even too early, and trailing rules that hold up.
Read more →Trading Discipline: Systems Beat Willpower Every Time
Discipline is not a personality trait. Build checklists, a pre-market routine, hard rules and an environment that make the right trade the default trade.
Read more →The Funded Trader's Glossary: Prop Trading Terms Explained
Thirty prop trading terms defined the way traders actually use them, from breach and static drawdown to profit split, refundable fees and R.
Read more →Build a Trading Journal You Will Actually Keep
The minimum viable trading journal, what to record on every trade, and the weekly review that turns entries into better decisions on a funded account.
Read more →Trading News Events in Forex on a Drawdown-Limited Account
What NFP, CPI and central bank days do to spreads and fills, and how traders with drawdown limits choose between standing aside and cutting size.
Read more →Trading Performance Anxiety: How to Stop Trading Scared
Why fear of losing a funded account causes early exits and skipped setups, what scared execution costs in R, and exposure-based fixes that work.
Read more →Trend Following on a Funded Account: A Practical Guide
Entries with the trend, pullback and breakout timing compared, and exit methods that let winners run without breaking daily or max. drawdown limits.
Read more →Trend vs Range Markets: Diagnose the Regime Before You Trade
Trend and range markets reward opposite behaviour. The fingerprints of each regime, why strategies fail outside their own, and simple filters to run first.
Read more →What Is a Funded Trading Account and How Does It Work?
A funded account gives you simulated capital to trade and pays real money on profits. What the firm provides, what you provide, and how it differs from a broker.
Read more →What Moves Currency Pairs: The Four Drivers That Matter
Rate differentials, data surprises, risk sentiment and flows move currency pairs. How each one shows up on a chart, and what retail traders overweight.
Read more →When to Stop Trading: Kill Criteria That End a Session Early
Predefined session kill criteria: loss streaks, personal limits, tilt signals and time stops, so stopping is automatic instead of a willpower contest.
Read more →Why Most Traders Fail Prop Firm Challenges
The recurring reasons evaluations fail, from oversizing and revenge trading to ignoring the daily limit, and what passing traders do differently.
Read more →Crypto Prop Firm: Get Funded to Trade Crypto in 2026
Want to trade crypto with a funded account? Learn how a crypto prop firm works and how FFUNDED funds crypto traders on an 85% profit split with no time limit.
Read more →How Prop Firm Trading Works (Complete 2026 Guide)
A clear, beginner-friendly guide to how proprietary trading firms work, how funded accounts are earned, and how payouts are paid, with CFD, futures
Read more →Prop Firm With No Time Limit: Trade at Your Own Pace
Tired of countdown timers on your evaluation? Learn why a prop firm with no time limit helps you trade better, and how FFUNDED removes deadlines entirely.
Read more →Prop Firm Profit Split Explained: How You Keep 85% to 95%
What is a prop firm profit split and how does it work? How payouts are calculated, and how FFUNDED traders keep 85% as standard, 90% upgraded and 95% at scale.
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