Clear explanations of FairTicks account models, risk rules, trading mechanics, account lifecycle, Live / Straight progression, payout conditions, KYC, and trader settings — with practical examples.
Start here if you are new to FairTicks. Recommended reading order and core concepts.
Understand the simulated trading evaluation model, Training accounts, Live / Straight accounts, and official platform records.
Compare Rapid, Classic, and Discipline / Precision to choose based on your real trading behavior.
From Training account creation to passing, breach, expiration, reset, extension, and Live generation.
How NANO, MICRO, and MINI contracts define simulated tick value and replace user-selected leverage.
Understand balance, equity, open PnL, closed PnL, commissions, and the official dashboard reference.
How commission is charged on exposure at open and again on exposure at close, with worked examples.
How exposure works, what limits open position size, and why trades can be blocked before opening.
Stop Loss requirements, 1% risk-per-trade logic where enforced, contract impact, and rejected trade examples.
How reversing closes the current position and attempts to open the opposite direction under the same rules.
How to read the depth ladder, visible bids and asks, liquidity context, and fast market movement.
Why FairTicks lists configured active markets and how market-specific settings affect trading.
How the daily breach floor works, when the daily baseline resets, and how live equity can trigger breach.
How the Max Loss floor starts, moves upward after realized EOD gains, never moves down, and can lock at capital.
How the trailing floor follows highest equity upward and how live equity can trigger a trailing breach.
Warning, High, and Critical risk levels before a hard breach, and how protection behavior can react.
How the 10-minute pause works at Critical near-breach when Protection Pause is enabled in Trader Settings.
What counts as a hard breach, what does not, what happens after breach, and how to review a breach.
How FairTicks handles fast favorable tick movement per second and why losses remain fully counted.
What makes a trade valid, how NP Score days are earned, and why NP Score matters for payout eligibility.
How FairTicks checks profit concentration for Live / Straight payout eligibility.
Understand the trader behavior score, what it represents, and how to read it without confusing it with payout approval.
ACTIVE, COOLDOWN, PASSED, LIVE_ACCOUNT_GENERATED, BREACHED, EXPIRED, FROZEN, CLOSED, and what each one means.
What happens after passing, how Live / Straight accounts work, and why payout is a separate checklist.
How bundle accounts work, the one-Live-per-bundle rule, and what happens after Live generation.
Paid reset, free reset, eligibility, capital downgrade, expiration behavior, reset limits, and future Live split impact.
How extension adds time without resetting balance, progress, drawdown, trading days, or account history.
What happens when the Training period ends before passing and how expiration differs from breach.
What free trials include, what they block, why they cannot reset, extend, generate Live, or request payout.
Review breach types, live equity, risk floors, open positions, and what support can check.
Check the payout checklist and understand which condition is still blocking your request.
Understand paid reset, free reset, Rapid blocks, Free Trial blocks, expired accounts, and reset limits.