Know the real cost before you open the position

Calculate the numbers that generic trading widgets hide: venue-specific liquidation tiers, real fee discounts, net funding carry, risk-sized positions and transparent DCA scenarios. Market and venue data is labelled with its source and freshness; modeled scenarios state their assumptions.

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Transparent methodInputs and assumptions stay visible, so every result can be checked.

Timestamped dataExchange-sourced values carry freshness and important parameters are reviewed regularly.

Results stay neutralNo investment calls—only clear calculations of cost and risk.

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Start with costs, risk parameters and use case. Commission never determines the order.

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