> PROP FIRM
> ACCOUNT SIZE
1% = $100 · TARGET = $1,000 · MAX DD = $1,000
> CHALLENGE PHASES
🎯 PROFIT TARGET
%
📉 MAX DRAWDOWN
%
📅 DAILY DRAWDOWN
%
▸ MIN DAYS
D
⏳ MAX DAYS
D
> STRATEGY PARAMETERS
🎯 WIN RATE50%
💰 RISK PER TRADE1.0%
= $100 per trade
📊 TRADES PER DAY3
⚡ RISK / REWARD RATIO
EXPECTED VALUE
+0.500R
BREAK-EVEN WR
33.3%
MIN TRADES NEEDED
1000
[ — ]
CONFIGURE PARAMETERS AND EXECUTE SIMULATION
AWAITING INPUT_
> HOW TO USE THIS TOOL
01
Select your target prop firm — challenge parameters auto-fill from official rules.
02
Adjust each phase: profit target, max drawdown, daily limit, and day range.
03
Enter backtested strategy data: win rate, R/R ratio, and risk per trade.
04
Set your average number of trades per day from your trading plan.
05
Execute the simulation — 5,000 Monte Carlo runs calculate pass probability.
06
Review the equity path chart and advice panel to optimize your approach.
WARNING — Monte Carlo results are probabilistic estimates based solely on provided parameters. This is NOT financial advice. Always verify challenge rules with official documentation. Past performance does not guarantee future results.