MethodA is a structured trading simulation platform designed to help traders evaluate discipline, risk management and performance without using real market capital.

MethodA combines simulation, rules and analytics so you can review your own trading behaviour objectively.
Start with the level of simulation and analytics that fits your evaluation needs.
Use virtual capital in a simulated environment based on market conditions.
Work within defined loss, position-sizing and trading-frequency constraints.
Review journals, analytics and discipline metrics to understand your method.
Record entries, exits, rationale, position sizing, emotions, tags and supporting charts.
Review win rate, risk-reward, drawdown, profit factor and instrument-level performance.
See P&L trends, periodic summaries, goals, charts and comparative performance views.
Track rule compliance, stop-loss adherence, position sizing consistency and trade frequency.
Understand capital utilization, allocation patterns, margin usage and capital curves.
Explore Greeks, premium decay, strategy-level breakdowns, expiry behaviour and strike analysis.
MethodA is built around self-evaluation: transparent rules, objective metrics and repeated review rather than promises of market success.
About MethodABuild structured habits instead of chasing quick gains.
Know the limits and evaluation framework.
Use your own data to identify strengths and weaknesses.
Focused on Indian equities and F&O simulation.
Explore MethodA's tools without putting real trading capital at risk.