Master Trading From Ground Zero
Real trading isn't about quick wins or flashy promises. It's about understanding markets, managing risk, and building skills that actually work when money is on the line. Our program starts with the basics and builds genuine expertise through hands-on practice.
Three Learning Tracks That Build Real Skills
Each track focuses on different aspects of trading. You can take them individually or combine them based on your goals and schedule.
Market Fundamentals
Before you can trade effectively, you need to understand what actually moves markets. This track covers economic indicators, company analysis, and how news affects prices.
- Reading financial statements and quarterly reports
- Economic calendar and market-moving events
- Sector analysis and industry trends
- Understanding market sentiment indicators
- Risk assessment frameworks
Technical Analysis Methods
Charts tell stories, but you need to know how to read them. We focus on proven technical methods that work across different timeframes and market conditions.
- Price action patterns and trend identification
- Support and resistance level analysis
- Moving averages and momentum indicators
- Volume analysis and market structure
- Multi-timeframe analysis techniques
Risk Management Systems
The difference between profitable and unprofitable traders often comes down to how they manage risk. This track teaches position sizing, stop losses, and portfolio management.
- Position sizing calculations and methods
- Stop loss placement and management
- Portfolio diversification strategies
- Drawdown management and recovery
- Psychology of risk and decision making
Learn From Active Practitioners
Zara Maddox
Quantitative Analysis • Market Structure
Spent eight years analyzing institutional order flow at a Chicago trading firm. Now teaches how retail traders can understand the same market dynamics that move big money. Her approach focuses on reading what institutions are actually doing, not just what they say.
Rina Holmberg
Risk Management • Portfolio Theory
Former hedge fund manager who learned risk management the hard way during the 2018 volatility spike. She teaches practical position sizing and how to stay in the game when markets get rough. Her risk frameworks have helped hundreds of traders avoid major losses.
Blakely Rosette
Fundamental Analysis • Earnings Research
Covers earnings for over 200 companies each quarter and teaches traders how to position around corporate events. She breaks down complex financial data into actionable trading insights. Her students learn to spot opportunities before they show up in the headlines.