Validate your workflow
Confirm scanner → signal → preset → alert behavior in realistic conditions.
Typical use
Catch edge cases before live execution.
Run bots, signals, and presets on simulated portfolios before going live. Validate your risk rules, observe behavior in different market conditions, and refine workflows for crypto and forex.
Testing reduces surprises. The goal is to validate behavior before capital is exposed.
Confirm scanner → signal → preset → alert behavior in realistic conditions.
Catch edge cases before live execution.
Observe how grid and signals strategies behave in different volatility regimes.
Find stable parameters for packages.
Evaluate drawdowns, recovery speed, and the impact of sizing rules.
Align risk/reward with your targets.
Build → test → compare → refine — with clear, readable steps.
Paper Trading is strongest when connected to scanners, alerts, and portfolio analytics. Keep everything linked for better package workflows.
Monthly target return ranges (presentation ranges; performance varies):
These ranges are illustrative. Results depend on market conditions and risk settings.
Connect simulation to analytics, bots, and alerts: