Institutional Evaluation Models

One Path to Capital.

 

Performance determines capital access. 

Register

  • Choose: Capital size between 500k to 20M

  • Reserve evaluation: Pay 0.5% of capital you want to access.

  • Share: Provide your past trading performance records. (Optional but highly recommended)

Perform

  • Receive:  Evaluation account

  • Objective 1: Generate 10% cumulative profit in phase 1.

  • Objective 2: Generate 5% cumulative profit in phase 2.
  • Risk: Maintain 5% max daily loss and 10% max account drawdown limit.

  • Timeline: No time limit; hit the profit target at your own speed.

Allocated

  • Receive: Live stage capital account.

  • Profit Share: Keep 75% of all generated profits.

  • Risk: Avoid 5% daily loss limit and 10% max loss limits apply.

  • Payouts: Bi Weekly request without any limitations

  • Execution: A-Book trading via Tier-1 liquidity providers.

Please Select Your Plan
Retail / Individual Trader
Fund Manager / Institutional
  • Allocation Size
    Allocation Size
  • Phase 1 Target
    Phase 1 Target
  • Phase 2 Target
    Phase 2 Target
  • Daily Loss
    Daily Loss
  • Maximum loss
    Maximum loss
  • Profit Split
    Profit Split
  • Leverage
    Leverage
  • Min Trading Days
    Min Trading Days
  • Scaling Plan
    Scaling Plan
  • Withdrawal Frequency
    Withdrawal Frequency
  • Hold over weekend
    Hold over weekend
  • Fee Refund
    Fee Refund
  • Trader History Mandatory
    Trader History Mandatory
  • Allocation Size
    Allocation Size
  • Phase 1 Target
    Phase 1 Target
  • Phase 2 Target
    Phase 2 Target
  • Daily Loss
    Daily Loss
  • Maximum loss
    Maximum loss
  • Profit Split
    Profit Split
  • Leverage
    Leverage
  • Min Trading Days
    Min Trading Days
  • Scaling Plan
    Scaling Plan
  • Withdrawal Frequency
    Withdrawal Frequency
  • Hold over weekend
    Hold over weekend
  • Fee Refund
    Fee Refund
  • Trader History Mandatory
    Trader History Mandatory
Start
  • Allocation Size
    $500,000
  • Phase 1 Target
    10%
  • Phase 2 Target
    5%
  • Daily Loss
    4%
  • Maximum loss
    10%
  • Profit Split
    75%
  • Leverage
    1:30
  • Min Trading Days
    4 Days per phase
  • Scaling Plan
    Every 10%
  • Withdrawal Frequency
    14 Days
  • Hold over weekend
  • Fee Refund
    N/A
  • Trader History Mandatory
Start
$15 / month
  • Allocation Size
    $1 Million
  • Phase 1 Target
    10%
  • Phase 2 Target
    5%
  • Daily Loss
    4%
  • Maximum loss
    10%
  • Profit Split
    75%
  • Leverage
    1:30
  • Min Trading Days
    4 Days Per Phase
  • Scaling Plan
    Every 10%
  • Withdrawal Frequency
    14 Days
  • Hold over weekend
  • Fee Refund
    N/A
  • Trader History Mandatory
    N/A
Grow
  • Allocation Size
    $1 Million
  • Phase 1 Target
    10%
  • Phase 2 Target
    5%
  • Daily Loss
    4%
  • Maximum loss
    10%
  • Profit Split
    75%
  • Leverage
    1:30
  • Min Trading Days
    4 Days per phase
  • Scaling Plan
    Every 10%
  • Withdrawal Frequency
    14 Days
  • Hold over weekend
  • Fee Refund
    N/A
  • Trader History Mandatory
Grow
$40 / month
  • Allocation Size
    $2 Million
  • Phase 1 Target
    10%
  • Phase 2 Target
    5%
  • Daily Loss
    4%
  • Maximum loss
    10%
  • Profit Split
    75%
  • Leverage
    1:30
  • Min Trading Days
    4 Days Per Phase
  • Scaling Plan
    Every 10%
  • Withdrawal Frequency
    14 Days
  • Hold over weekend
  • Fee Refund
    N/A
  • Trader History Mandatory
    N/A
Optimize
  • Allocation Size
    $2 Million
  • Phase 1 Target
    10%
  • Phase 2 Target
    5%
  • Daily Loss
    4%
  • Maximum loss
    10%
  • Profit Split
    75%
  • Leverage
    1:30
  • Min Trading Days
    4 Days per phase
  • Scaling Plan
    Every 10%
  • Withdrawal Frequency
    14 Days
  • Hold over weekend
  • Fee Refund
    N/A
  • Trader History Mandatory
Optimize
$50 / month
  • Allocation Size
    $8 Million
  • Phase 1 Target
    10%
  • Phase 2 Target
    5%
  • Daily Loss
    4%
  • Maximum loss
    10%
  • Profit Split
    75%
  • Leverage
    1:30
  • Min Trading Days
    4 Days Per Phase
  • Scaling Plan
    Every 10%
  • Withdrawal Frequency
    14 Days
  • Hold over weekend
  • Fee Refund
    N/A
  • Trader History Mandatory
    N/A
Scale
  • Allocation Size
    $8 Million
  • Phase 1 Target
    10%
  • Phase 2 Target
    5%
  • Daily Loss
    4%
  • Maximum loss
    10%
  • Profit Split
    75%
  • Leverage
    1:30
  • Min Trading Days
    4 Days per phase
  • Scaling Plan
    Every 10%
  • Withdrawal Frequency
    14 Days
  • Hold over weekend
  • Fee Refund
    N/A
  • Trader History Mandatory
Scale
$50 / month
  • Allocation Size
    $20 Million
  • Phase 1 Target
    10%
  • Phase 2 Target
    5%
  • Daily Loss
    4%
  • Maximum loss
    10%
  • Profit Split
    75%
  • Leverage
    1:30
  • Min Trading Days
    4 Days Per Phase
  • Scaling Plan
    Every 10%
  • Withdrawal Frequency
    14 Days
  • Hold over weekend
  • Fee Refund
    N/A
  • Trader History Mandatory
    N/A

Verified Payouts

Proof that institutional capital reaches skilled traders. Unlike firms that burned you before, we deliver.

Execution Standards

Real A-Book vs. Industry Standard B-Book Firms

Features
  • Execution Model
  • Payout Denials
  • Hedge Fund Backing
  • Account Limit
  • Payout Frequency
  • Profit Split
  • Draw down Type
  • Trading Type
  • Platform
DCRET (A-Book)
  • Real Market A-Book
  • ✓ Zero Denials
  • ✓ Ex Hedge Fund
  • Up to $8M Total
  • Bi-Weekly / On-Demand
  • 75% – 90%
  • Balance-Based
  • ✓ Multiple Allowed
  • MT4, MT5
Typical Prop Firms
  • B-Book (Profit from losses)
  • ✗ Common Rejections
  • ✗ None
  • $100K – $400K Max
  • Monthly (if approved)
  • 50% – 80%
  • Equity-Based (Harder)
  • ✗ Restrictive
  • Limited Options

Trading Rules and Evaluation Standards

  • Profit targets: Two-step (10% Phase 1, 5% Phase 2).
  • Drawdown: Max 10% of initial balance in all phases (strictly enforced).
  • Minimum 5 trading days required per phase/challenge. No time limit for completion.
  • Expert Advisors (EAs) approved for use must not copy trades from public signals or replicate identical trades in other funded accounts.
  • No copy-trading, arbitrage, or latency exploitation. Strategies must reflect genuine discretionary or systematic skill.
  • Trade any asset class offered (FX, metals, indices, energies). No stocks or crypto are currently available.
  • Leverage up to 1:50 for FX, 1:10 for metals, indices, and energies.
  • Payouts bi-weekly.
  • Scaling plans available on request, grow your allocation as discipline and profitability are demonstrated.
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Institutional Capital for Proven Traders

Our allocation committee reviews traders based on performance consistency, drawdown management, and risk discipline.
Only apply if you are an experienced trader.