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Capital control
Comprehensive modules covering all aspects
Hands-on exercises and real-world examples
Get help from experienced trading professionals
7 Sections available
Building a Risk Management Checklist for Every Trade
Calculating Maximum Drawdown and Its Impact on Your Capital Strategy
Common Risk Management Mistakes and How to Avoid Them
How to Review Losing Trades and Learn from Them
Introduction to Risk Management – Why It Matters More Than Strategy
Understanding Reward-to-Risk Ratio and How to Improve It
Using Leverage Safely – The 2% Risk Rule Explained
5 Sections available
Top Psychological Pitfalls for Forex Traders
How Ignoring Risk Management Leads to Account Wipeouts
The Dangers of Overleveraging in Forex
How to Avoid the “Get Rich Quick” Trading Mindset
Turning Failures into Long-Term Trading Lessons
5 Sections available
Step by-Step Guide to Calculating Position Size
How Position Sizing Can Reduce Emotional Trading
Position Sizing Strategies for Different Account Sizes
Adjusting Position Size Based on Currency Volatility
What Is Position Sizing and Why It’s Crucial for Survival
4 Sections available
How to Scale In During Strong Trends
6 Sections available
Setting Stops Using Support & Resistance Levels
Volatility Based Stop Loss Strategies
Common Stop Loss Mistakes and How to Fix Them
3 Golden Rules for Effective Stop Loss Placement
Different Types of Stop Loss Orders Explained
How to Set Stop Loss Based on a Percentage of Your Account
5 Sections available
Avoiding Double Risk with Correlated Pairs
How to Calculate Currency Correlations Yourself
How to Read and Interpret Correlation Tables
Introduction to Currency Correlations
Using Correlations to Improve Trade Accuracy