Advanced news trading strategies
What you'll learn
Master how to interpret high-impact economic news and assess its potential market reaction
Learn pre-news planning techniques, including entry setups and scenario mapping
Understand market psychology and price behavior during major news releases
Discover advanced strategies like:
Straddle entries
Spike and fade reversals
Post-news breakout confirmation trades
Learn how to avoid fakeouts and whipsaws using timing, filters, and sentiment tools
Apply precise risk management frameworks tailored to high-volatility trading
Analyze real-world trade examples from historical events
Exploring Exotic Forex Pairs
What you'll learn
What exotic forex pairs are and how they differ from major and minor pairs
Commonly traded exotic pairs (e.g., USD/TRY, EUR/ZAR, USD/SGD, USD/MXN)
Key drivers of price movements in exotic currencies (interest rates, political risk, capital flows)
How to manage the higher volatility and lower liquidity in exotic markets
Strategic approaches for trading exotics: news-based, carry trades, and long-term positioning
The major forex pairs
What you'll learn
What defines a major forex pair and why they matter in the market
Overview of each major pair: EUR/USD, USD/JPY, GBP/USD, USD/CHF, AUD/USD, NZD/USD, and USD/CAD
Key economic indicators and geopolitical factors that impact major pairs
Trading strategies tailored to each pair’s characteristics (volatility, session timing, etc.)
How to manage risk and capitalize on correlations between major pairs
What is EUR/USD
What you'll learn
What the EUR/USD currency pair represents and how it’s quoted
Key factors that influence its price: interest rates, inflation, and economic data
Popular strategies for trading EUR/USD (technical, fundamental, and news-based)
How to read EUR/USD charts and identify entry/exit points
Risk management techniques for forex trading
Introduction to Gapping in Trading
What you'll learn
What a price gap is and how gaps form on charts
The four main types of gaps: common, breakaway, runaway, and exhaustion gaps
How to interpret gaps as signals for momentum or reversals
Strategies for trading gap ups and gap downs
Risk management tips for trading in volatile, gapping conditions
What is Day Trading
What you'll learn
The definition of day trading and how it compares to other trading styles
The tools and platforms commonly used by day traders
Key strategies such as momentum trading, scalping, and breakout trading
Risk and money management principles to protect your capital
How to create a daily trading routine and trading plan
Trading Currency Pairs
What you'll learn
How the Forex market operates and the mechanics of currency pairs
Key concepts such as pips, lots, leverage, and margin
How to read Forex charts and use technical indicators for analysis
Fundamental factors that influence currency prices (e.g., interest rates, economic news)
Risk management strategies to protect your capital and minimize losses
Advanced risk management
What you'll learn
By the end of this section, students will:
Apply advanced position sizing models (fixed fractional, Kelly criterion, volatility-based sizing).
Understand portfolio-level risk and how to manage correlations between assets.
Learn dynamic stop-loss and trailing stop strategies to protect profits.
Master risk-to-reward optimisation for higher probability trades.
Build a personal risk management plan that aligns with trading goals and psychology.
Strategies And Risk
What you'll learn
By the end of this section, students will:
Understand the importance of combining strategies with risk management.
Learn how to evaluate strategies using risk-to-reward ratios and win rates.
Explore how position sizing and stop-loss placement protect capital.
Recognize the psychological role of risk control in maintaining discipline.
Build the foundation for designing strategies that are realistic and sustainable.




