Trading Education Pathway
Master financial markets through our structured 16-week curriculum designed specifically for newcomers to trading. Each module builds essential knowledge while developing practical skills you'll actually use.
Your Learning Journey
Our curriculum follows a carefully planned progression from basic concepts to advanced analysis techniques. You'll move through each phase at your own pace while building confidence in real market scenarios.
Market Foundations
- Understanding financial markets and how they function
- Types of securities and trading instruments
- Reading price charts and basic market terminology
- Setting up your trading workspace and tools
- Economic factors that influence market movements
Analysis Methods
- Technical analysis patterns and indicators
- Fundamental analysis of companies and sectors
- Market sentiment and behavioral finance concepts
- Using news and data to make informed decisions
- Practice exercises with historical market data
Risk Management
- Position sizing and portfolio allocation strategies
- Stop-loss orders and risk control mechanisms
- Psychology of trading and emotional discipline
- Diversification principles and correlation analysis
- Creating personal risk management rules
Strategy Development
- Building and testing trading strategies
- Backtesting methods and performance evaluation
- Paper trading and simulation exercises
- Adapting strategies for different market conditions
- Long-term investment planning and goal setting
Skills You'll Build
Each module includes hands-on exercises and real-world applications. By completion, you'll have developed practical abilities that extend beyond basic market knowledge into actual analytical thinking and decision-making skills.
Market Analysis
Learn to read market patterns, understand price movements, and identify potential opportunities using both technical and fundamental approaches.
- Chart pattern recognition
- Financial statement analysis
- Market trend identification
- Economic indicator interpretation
Risk Assessment
Develop disciplined approaches to managing potential losses and protecting capital through systematic risk evaluation methods.
- Portfolio risk calculation
- Stop-loss strategy design
- Correlation analysis
- Position sizing techniques
Decision Making
Build confidence in making informed financial decisions by understanding market psychology and developing systematic evaluation processes.
- Systematic decision frameworks
- Emotional control techniques
- Strategy evaluation methods
- Performance tracking systems
Ready to begin your trading education journey? Our next cohort starts in August 2025 with limited enrollment.
Request Program InformationProgram includes lifetime access to course materials and quarterly skill refresher sessions.