RULES
The Two Models
- TP1 and TP2 are two completely different games.
TP1 — Payout Model
- Negative RR. You risk more than you make per trade.
- High winrate carries it. Built specifically to pass prop firm targets fast.
- Can blow accounts. That's expected and priced in.
TP2 — Growth Model
- 1 to 2 R. Positive RR.
- 60 to 65% winrate. Slower but compounds clean.
The Risk Logic (Model 1)
- First trade loses? Double the risk on the second.
- One recovery trade built into the system. Keeps the account on track without spiraling.
The ROI Math
- $5,000 across five 150k instant funded accounts.
- By end of 12 months, system targets over $100,000 in extracted profit.
- Account blows? Add another. The model accounts for it.
- You are not trading to keep every account. You are trading to extract more than you spend. Repeatedly.
Who This Is For
- Prop firm traders who understand it is an ROI game not a savings account.
- Traders who want a mechanical system with no discretion and no second guessing.
- Anyone tired of buying indicators that look good in hindsight and do nothing live.
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