"I think the stock will bounce" is not a strategy. Without testing, you can't tell whether your rule really works or was just luck.
Returns alone can mislead. The bigger question: how far will your portfolio fall in its worst stretch, and can you stomach it?
Dividends, stock splits, commissions, slippage. Every small spreadsheet error makes your results look better than they really are.
Saudi stocks, US stocks, or options. A single stock or a full portfolio.
When to enter, when to exit, and how much to risk per trade. Drag and drop, or start from a template.
Growth curve, metrics, and a log of every trade. Compare with the index, adjust, and test again.
Global platforms are built for the US market. Mihakk is built from the ground up for investors here.
All markets in one plan, for the professional trader.
For brokerages, asset managers, and educational institutions.
Leading analysts and financial market specialists have tried the platform. Here's what they think.
"[Analyst's review after trying Mihakk]"
"[Analyst's review after trying Mihakk]"
"[Analyst's review after trying Mihakk]"
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