4-Pillar Raksha Score
Ordered institutional scoring across 1. Trade Management, 2. Risk Management, 3. Behaviour Management, and 4. Portfolio Management.
- 1. Trade Management & 2. Risk Management
- 3. Behaviour Management & 4. Portfolio Management
- 0–100 Composite Discipline Index
Max Loss (%) & Risk Guardrails
Replaces confusing drawdown jargon with crystal-clear Max Loss (%) and Daily Risk Budget tracking to get you to the Break-Even stage first.
- Max Loss (%) real-time tracking
- Risk-per-trade compliance
- Stop-loss adherence audit
Expectancy (%) & Edge Analytics
Every trade and strategy is evaluated with Expectancy in both currency and percentage (%) so you know your exact mathematical edge.
- Expectancy (%) & Currency display
- Win rate & Profit Factor
- Open vs. Closed book separation
Dynamic Multi-Currency Accounts
Create manual, report-upload, or live MT5 sync accounts in INR, USD, USDT, EUR, GBP, JPY, AED, AUD, or CAD with instant symbol updates everywhere.
- Dynamic currency switching
- Indian F&O, Forex, Crypto & Stocks
- MT5 Deals vs. Positions toggle
Strategy-Hopping Prevention
Separates strategy edge from execution mistakes so you stop abandoning winning strategies after a single poorly managed losing trade.
- Revenge trade cooldown alerts
- Lot-size tilt spike detection
- Pre-trade rule checklist
Guided Onboarding & 10m Security
Interactive step-by-step tutorial on login plus an institutional 10-minute session auto-logout timer to protect your trading ledger.
- Interactive new-user tutorial tour
- 10-minute auto-logout session timer
- AES-256 read-only privacy
The 4-Pillar Raksha Architecture
Ordered for Real Trading Consistency
Every feature is aligned around our 4 core pillars: 1. Trade Management, 2. Risk Management, 3. Behaviour Management, and 4. Portfolio Management.
1. Trade Management Engine
Once Risk Management brings you to the Break-Even stage, Trade Management is what carries you from Break-Even to Consistent Profitability. Audit R:R execution, stop-loss trailing, and target discipline.
2. Risk Management & Max Loss (%)
Risk Management always comes first. Track your exact Max Loss (%) relative to account capital, Daily Risk Budget (DRB), and position sizing consistency so a single bad session never blows up your account.
3. Behaviour Management Audit
Beginner traders often blame and hop strategies after a single losing trade when the real mistake was behavioral. Detect revenge re-entries (<12 min after loss) and lot-size tilt spikes automatically.
4. Portfolio Management & Expectancy (%)
Measure your true mathematical edge with Expectancy shown in both currency and percentage (%), Profit Factor, Sharpe/Sortino ratios, and multi-currency account ledgers (INR, USD, USDT, EUR, GBP, AED).
Stop Changing Strategies After a Single Losing Trade. Fix What Actually Matters.
“Initially I was not a profitable trader, but after applying a few foundational changes I finally saw consistency in trading that no one talks about. Risk management has to come first—if you manage risk, you reach the Break-Even Stage. From break-even, to move further, we must master Trade Management, which takes you from Break-Even to Profitability.”
10-Minute Session Auto-Logout
Institutional session security automatically logs out inactive sessions after 10 minutes with a live countdown and 1-click extend.
100% Transparent Formula Audits
Every pillar—Trade Management, Risk Management, Behaviour Management, and Portfolio Management—shows its exact formula.
Multi-Device & Light/Dark Ready
Engineered with high-contrast readability across both dark and light themes for desktop and mobile review.
Start Your Journey to Consistent Profitability.
Master Risk Management, Trade Management, and Discipline with Raksha Trades Journal.
