WEBVTT

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There is no universal winner. Compare jurisdiction, availability, payment route, verification state and the feature actually needed.

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Use Confirmed, Variable and Not established. Report conditions from official sources and preserve unknown outcomes as unknown.

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Start with operator disclosure: named entity, current agreement, date and dispute clause. Platform terms are not independent proof of reliability.

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Check jurisdiction and product availability in the relevant authority register. Website access does not establish local authorisation.

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Compare minimum deposit and trade only with method, currency and live-account conditions. A review number is not a universal threshold.

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Displayed payout is potential return, not guaranteed profit. Record live payout, asset, quote mode and expiry, then calculate break-even.

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Read withdrawal policy by evidence weight. Contractual processing windows, payment-provider settlement and individual arrival are different layers.

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Both document sets permit verification and payment-source checks. Record KYC, AML, funding source and destination restrictions.

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Compare OTC quote rules from the agreements. Neither guarantees a tick-for-tick TradingView match or independently proves feed fairness.

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Demo, bonus and feature claims are limited evidence. Demo does not prove funded execution; offer and feature availability can change.

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Support channels are features, not proof of outcome quality. Preserve tickets and leave reliability, authorisation and profitability not established.

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Check current terms, live limits, verification, payout and quote mode. Do not add funds to unlock a withdrawal. Full stake can be lost.
