Nemesis Capital is a proprietary trading firm (prop firm) specializing in CFD trading evaluation and funded trader programs.
Our objective is to identify skilled traders who demonstrate consistent performance and disciplined risk management. We provide simulated trading accounts where traders can prove their ability under predefined risk parameters.
If a trader successfully meets these requirements, they may receive access to a funded account and become eligible for performance-based payouts.
It is important to understand that Nemesis Capital does not operate as a broker or investment manager. We do not accept deposits for trading and we do not manage client funds. All trading activities occur in simulated environments designed to replicate real market conditions as closely as possible.
No. Nemesis Capital is not a broker, financial institution, or investment firm.
We do not:
Instead, we provide evaluation and proprietary trading programs. Traders use simulated accounts to demonstrate performance, and payouts are provided as rewards based on simulated trading results and internal risk models.
This structure is standard across the global prop firm industry.
No. All Nemesis Capital accounts β including funded accounts β operate in simulated trading environments.
This means:
However, traders can still earn real payouts based on their simulated trading performance if they comply with all program rules and risk parameters.
This model allows Nemesis Capital to evaluate traders safely while rewarding consistent performance.
You may participate in Nemesis Capital programs if you meet the following conditions:
Nemesis Capital reserves the right to refuse or terminate access if eligibility requirements are not met.
Nemesis Capital provides three main program types designed for different trader profiles:
Instant Funding
Immediate access to a funded account without passing an evaluation phase.
This option includes stricter trading restrictions due to the absence of prior evaluation.
1-Step Evaluation
A single-phase challenge where the trader must reach a profit target while respecting all risk rules to become funded.
2-Step Evaluation
A two-phase process requiring traders to demonstrate consistency across two consecutive evaluation stages before funding.
Each program has its own parameters, rules, and conditions which must be respected.