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Are You Ready to Trade? Find Out Now!

Take this day trading quiz to unlock your trading potential!

Editorial: Review CompletedCreated By: Altjen BerberiUpdated Aug 23, 2025
2-5mins
Profiles
Paper cut quiz illustration with trading chart coins risk meter checklist on coral background

This free trading quiz helps you check your market basics, risk tolerance, and trading style in minutes. You'll spot strengths and gaps so you can practice smart before you risk real money. Start now, or try the practice test for more practice.

When a stock gaps up 5 percent at the open, what best matches your approach?
Wait for your setup to trigger per tested rules before acting
Hit it when volume confirms the move and manage tight risk
Ignore the gap and assess whether it affects your long-term thesis
Paper trade the scenario and record observations
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Which primary input drives your entries most?
Backtested signals and statistical edges
Real-time momentum, tape, and volume surges
Fundamentals and multi-quarter themes
Lessons from simulation and study materials
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What holding period feels most natural to you?
System-driven swings over several days with defined rules
Minutes to hours, riding immediate momentum
Months to years, compounding along trends
No live holds yet, still practicing and observing
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How do you respond to a drawdown?
Audit rules, reduce risk per trade, and tighten execution
Cut fast, reset, and focus on A+ momentum only
Stay within portfolio risk bands and rebalance if needed
Pause live risk and study results in a simulator
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What does your premarket routine center on?
Screeners and playbooks derived from backtests
Scanning gappers, news catalysts, and volume leaders
Reviewing macro data and portfolio positioning
Reviewing notes, sim trades, and key lessons
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How do you size positions?
Fixed percent risk per trade with ATR-adjusted stops
Scale in quickly when momentum confirms
Allocate by strategic weights and rebalance periodically
Tiny probes or simulation only while learning
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Which artifact best represents your edge-building?
Spreadsheet with expectancy, drawdown, and win rate stats
Screen recordings of tape and execution for review
Research dossier on secular trends and valuations
Annotated practice journal with experiments
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How do you prefer to exit trades?
Predefined stop and target with rule-based adjustments
Trail tightly as momentum wanes and take partials
Rebalance on schedule or exit on thesis change
Test multiple exit styles in simulation
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When market-moving news hits, you usually:
Update your playbook and parameters if rules require
Trade the reaction with strict stops
Assess whether it alters your long-term thesis
Bookmark it and study how price digests it
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Which chart timeframe do you prioritize?
Hourly with system signals and context
1 to 5 minute for entries and exits
Daily and weekly for trend stewardship
Multiple timeframes while practicing in sim
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What most justifies increasing your size?
Robust out-of-sample results and stable metrics
Recent strong momentum in your top setup
Years of consistent compounding and cash flows
Sustained simulator consistency and rule adherence
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How do you track your performance over time?
Detailed trade log with KPIs and distributions
Daily PnL by setup and session notes
Quarterly returns vs benchmark and risk metrics
Learning goals and practice milestones
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What is your primary opportunity filter?
Meets all quantified criteria of my playbook
Fresh range break with above-average volume
Fits a durable narrative with supportive data
Offers a clear learning scenario to practice
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In choppy conditions, your go-to move is:
Stand down or tighten rules until edge returns
Scalp quick impulses with tight risk
Do nothing and let long-term positions be
Observe and document without live risk
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Which risk setting matches you best?
0.5 to 1 percent of equity risked per trade
Variable risk tied to momentum quality
Portfolio-level drawdown bands and limits
Minimal or simulated risk while learning
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Which tool can you not live without?
Backtesting and analytics platform
Time and sales with hotkeys and DOM
Rebalancing and portfolio tracking software
A realistic market simulator
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If live results diverge from backtests, you:
Diagnose sample bias and refine the system
Rotate to what is moving now and adapt fast
Stay the course if within long-term variance
Return to sim and collect more data
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How would you describe your trading edge?
Quantified patterns with positive expectancy
Superior timing and tape reading in motion
Thematic conviction supported by research
Disciplined practice and structured learning
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Which market environment do you prefer?
Orderly ranges with clean signal quality
High volatility and explosive breakouts
Sustained trends with clear narratives
Any environment that helps me learn
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When you miss a trade, your first step is:
Log why the rule did not trigger or I hesitated
Hunt for the next momentum setup immediately
Accept it and stick with the thesis plan
Review and recreate it in simulation
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Backtesting reduces overfitting only when validation uses out-of-sample data.
True
False
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Chasing parabolic moves late in the day is a low-risk strategy.
True
False
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Rebalancing can control drift in a long-term portfolio.
True
False
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Simulated trading is useless for building discipline.
True
False
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Hard stops help enforce risk limits during fast markets.
True
False
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A single winning month proves a strategy is robust.
True
False
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Macro regime shifts can change the effectiveness of a long-term thesis.
True
False
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Position size should always be the same dollar amount regardless of volatility.
True
False
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Reviewing trade recordings can improve tape reading skill.
True
False
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Dividends guarantee positive total returns over any 3-year period.
True
False
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Profiles

  1. Novice Navigator -

    Your beginner trading quiz result shows you're eager to learn and naturally cautious. Focus on mastering market basics and demo trades to build confidence before risking real capital.

  2. Cautious Observer -

    Your stock trading quiz score highlights careful research habits and low risk tolerance. Tip: use an online trading quiz to test new strategies in a simulated environment and gradually expand your comfort zone.

  3. Analytical Strategist -

    You aced the day trading quiz on market knowledge and decision-making. Leverage your data-driven approach by refining technical analysis tools and backtesting your setups for consistent outcomes.

  4. Bold Opportunist -

    Your trading quiz results reflect high risk appetite and a fast-paced style. Channel that energy into disciplined risk management - set clear stop-loss levels and stick to your trading plan.

  5. Seasoned Day Trader -

    You've demonstrated advanced skills across market analysis and emotional control. Keep sharpening your edge with advanced strategy tweaks and regular performance reviews to stay ahead.

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