WEBVTT

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Finding an interesting strategy is not the same as having permission to

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run it. Before choosing any access action, read the current price and

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the requirements shown for your account. This page is a review exercise.

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We will inspect what a choice would mean without subscribing, purchasing a

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bundle, or changing an account setting.

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Read the amount and the billing interval together. A price marked per

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month describes a recurring interval, not necessarily a one-time purchase. Then inspect

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the current terms and any additional cost information shown in the detail

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or billing flow. Avoid recording a fixed price as a permanent fact

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about the app; the displayed offering and your account's terms are what

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matter at the time of a decision.

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Keep different costs in separate categories. A platform plan can describe access

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to app features. A strategy subscription can describe access to an offering.

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Trading fees relate to trading activity, and other disclosed charges may have

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their own basis. A monthly strategy price should not be treated as

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proof that every other cost is included. Read the applicable explanations before

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estimating the total.

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A bundle also needs a membership check. Read which strategies it contains,

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which ones you already have access to, and what the action will

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add. Do not assume a research grouping is a single purchase with

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a single renewal or cancellation rule. Follow the actual subscription details for

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its members and any bundle terms shown. Comparing a bundle's research does

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not require adding its members to your account.

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Read Paper and Live requirements separately. A trial, preview, subscription, account plan,

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or verification requirement can affect what is available. A message about unavailable

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access should be read as a condition to understand, not a button

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to work around. If a development simulation or tester grant is explicitly

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shown, it is not evidence that a real charge occurred or that

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the same access is available to every customer.

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Access, configuration, and activation are separate steps. Access means the account is

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permitted to use the offering under the applicable conditions. Configuration concerns the

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supported settings for using it. Activation concerns whether it is enabled in

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the relevant mode. A Subscribed label does not, by itself, prove that

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a strategy is running, that funds were allocated, or that a position

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was opened.

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The cash lesson applies here too: a subscription does not create a

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second wallet. Multiple strategies can depend on the same account resources, with

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their own limits and availability checks. Before activation later, you will need

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to understand the actual capital and position controls. For now, record what

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access would cost and what it would permit, without counting it as

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a deposit or a trade.

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Finish by describing the proposed access in plain words: this offering has

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this displayed charge or access condition, for this interval and mode, with

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these remaining requirements. Include where you would review renewal or cancellation information.

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If part of that sentence is unknown, keep it as a question.

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A careful comparison can stop before purchase while still giving you useful

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progress.
