Learn for real
Start from scratch and learn what actually matters: the vocabulary, how indicators work (and their limits), the platform, and why risk —not strategy— decides who survives. No get-rich promises.
We won't sell you the secret to getting rich. We'll teach you to measure, to distrust pretty backtests and to protect your account. If someone promises guaranteed profits, run.
Pip, lot, spread, leverage, drawdown, win rate, R… the terms you need to understand everything else, in plain language.
Read the lesson →How to read a chart: open, close, high, low and what the colour tells you. With animated graphics.
Read the lesson →Moving averages, RSI, MACD, Bollinger… what they actually measure, what they're for and —what nobody tells you— why they're not a crystal ball.
Read the lesson →The most-used platform: how to open a trade, set a stop-loss, read the chart and test strategies in the Strategy Tester. First steps.
Read the lesson →The 1% rule, the cruel math of drawdown and why risk —not strategy— decides who survives.
Read the lesson →Trend, reversion and breakout: how they work and which market each wins in. None wins always.
Read the lesson →What an EA is, why 95% of the ones sold are garbage, and the 7 red flags to avoid losing your money.
Read the lesson →Profit factor, drawdown, modelling quality, in-sample vs out-of-sample: how to read it and spot overfitting.
Read the lesson →Fear, greed, FOMO, revenge and overconfidence: the 5 inner enemies that blow up more accounts than bad strategies, and how to defend yourself with rules.
Read the lesson →Market, limit, stop and trailing stop explained with a clear diagram. When to use each and the classic mistake of confusing limit with stop.
Read the lesson →The double-edged sword: how it multiplies gains AND losses, what a margin call is and why high leverage blows up accounts.
Read the lesson →The chart's map: why price bounces off certain levels, what a breakout is and the support↔resistance flip. With an animated chart.
Read the lesson →The two ways to read the market: the chart vs the economy. How they differ, which to use and why almost nobody uses just one.
Read the lesson →Asia, London and New York: when volatility happens, why the London-NY overlap is prime time, and the mistake of trading dead hours.
Read the lesson →Spread, commissions, slippage and swap: how friction eats your edge without you seeing it, and why the backtest lies if it ignores them.
Read the lesson →Why three trades in different pairs can be one big bet, and why correlation spikes exactly in crises.
Read the lesson →The free tool that actually makes you improve: what to record for each trade and how to turn your data into a measurable edge.
Read the lesson →Regulation, ECN vs market maker, spreads and the 6 red flags of a dangerous broker. Where to put your money without regret.
Read the lesson →Your contract with yourself: the 7 points of a plan you'll actually use, to decide cold not hot. The template that brings method to chaos.
Read the lesson →How your size changes on wins and losses: fixed lot vs fixed fractional, anti-martingale, and why doubling after a loss blows up accounts.
Read the lesson →38.2/50/61.8% retracements: why they sometimes work (self-fulfilling prophecy), why they're not magic and how to use them as confluence, not a signal.
Read the lesson →What volume confirms and the forex catch: you don't see real volume, only "tick volume". How to use it without fooling yourself.
Read the lesson →Confirmation, recency, sunk cost, gambler’s fallacy, loss aversion: your brain’s errors that make you lose, and their antidote.
Read the lesson →We keep expanding the School with more lessons and practical guides. Want us to prioritise a topic? Email [email protected].