Expert Advisors (EAs)
What you'll learn
Understand what Expert Advisors (EAs) are and how they function within MetaTrader platforms
Learn the difference between fully automated and semi-automated trading systems
Discover how to install, configure, and test EAs on MT4/MT5
Explore the basics of backtesting and optimizing EAs using historical data
Understand key concepts like:
Risk parameters
Drawdown limits
Trade filters and time controls
Learn how to evaluate third-party EAs before using them in a live account
Gain awareness of the risks and limitations of automated trading
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
Trading with Fibonacci retracement
What you'll learn
The theory behind Fibonacci retracement and why it works in trading
How to correctly draw and interpret Fibonacci levels on price charts
Identifying confluence zones with Fibonacci and other indicators
Entry, stop-loss, and take-profit strategies using retracement levels
Common mistakes traders make when using Fibonacci — and how to avoid them
Introduction to Technical Indicators
What you'll learn
Students will understand the role of technical indicators in analyzing market trends, momentum, and potential entry/exit points. They will learn how to apply popular indicators such as moving averages, RSI (Relative Strength Index), MACD (Moving Average Convergence Divergence), and Bollinger Bands. The course emphasizes not just using indicators in isolation, but combining them effectively to confirm signals and manage risk. By the end, students will be able to use technical indicators to support their trading strategies with greater confidence.
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.




