Bolly Band Bounce trading strategy
What you'll learn
Understand how Bollinger Bands work and what they indicate about volatility and price behavior
Learn the core setup for the Bolly Band Bounce Strategy
Identify how to spot price rejection at the Bollinger Bands for entry opportunities
Master trade timing, stop-loss placement, and take-profit levels
Discover how to filter out false signals using trend direction, volume, or confirmation candles
Analyze real chart examples of the strategy in ranging and trending markets
Automated Trading
What you'll learn
The core concepts of automated and algorithmic trading systems
How to build, backtest, and optimize automated strategies using trading platforms
The pros, cons, and risks of automated trading vs. manual trading
How to use programming tools (e.g., MQL4/5, cAlgo, Python APIs) to create custom bots
Key principles of strategy validation, risk management, and live deploymen
Advanced Trading Strategies
What you'll learn
By the end of this section, students will:
Explore multi-timeframe strategy integration for higher accuracy.
Apply volatility and momentum-based trading approaches.
Build confluence strategies using a mix of indicators, chart patterns, and price action.
Understand how to design rule-based systems for discipline and repeatability.
Learn to test, refine, and adapt strategies to different market conditions.
Advanced technical analysis
What you'll learn
By the end of this section, students will:
Understand how to apply multi-timeframe analysis for stronger confirmations.
Learn how to use Fibonacci retracements and extensions to spot entry and target zones.
Recognize advanced chart patterns such as Head & Shoulders, Triangles, Flags, and Wedges.
Apply oscillators and momentum indicators (RSI, MACD, Stochastic) in advanced contexts.
Integrate multiple indicators and techniques into a cohesive trading strategy.
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.
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
A Guide to Trading the FOMC
What you'll learn
What the FOMC is, how it functions, and why its meetings move markets
How interest rate decisions and monetary policy statements impact asset prices (e.g., USD, gold, indices)
How to interpret the dot plot, economic projections, and Fed Chair press conferences
Pre-FOMC preparation: analyzing consensus, sentiment, and market positioning
Real-time and post-announcement trading strategies, including breakout and fade setups




