ACADEMY  ·  Trading the Right Way
PATH 4 · STAY IN THE GAME

Trading the Right Way

The part that keeps you in the game: risk management, clean execution, and the psychology that decides everything.

48 Lessons3 ChaptersFree No signup
CHAPTER 1

Risk Management

18 lessons
    01Risk Management Is the StrategyWhy edge without risk control still fails, with the arithmetic of drawdowns and the survival-first mindset of professionals.Read →02The 1% Rule: Sizing Every Trade From RiskFixed-fractional sizing from account, stop distance and pip value — the formula, worked examples, and when to risk less.Read →03Stop Losses: Placement Before Entry, AlwaysStructure-based versus ATR-based stops, the placement logic for each setup type, and why the stop defines the trade.Read →04Why Traders Move Stops (and How to Stop)The psychology of stop-widening, its long-term cost in numbers, and the mechanical rules that make stops final.Read →05Risk-Reward Ratios: The Math That Forgives MistakesHow R-multiples work, the win-rate/RR trade-off table, and why 40% winners can compound handsomely.Read →06Expectancy: The Only Formula That Says If You Have an EdgeCalculating expectancy from your journal, sample sizes that mean something, and reading it per setup.Read →07The Daily Loss Limit: Your Circuit BreakerChoosing a daily stop, why it must be mechanical, and how walking away today protects the whole career.Read →08Drawdown: Planning for the InevitableDrawdown math, the recovery table every trader should memorize, and rules for cutting size while under water.Read →09Position Sizing Beyond Basics: Scaling With ConfidenceTiering size by setup grade, reduced size in chop, and the discipline of never sizing up to recover losses.Read →10Correlated Positions: When Three Trades Are One Big TradeRecognizing hidden concentration across pairs and indices, and capping aggregate exposure by theme.Read →11Trailing Stops: Protecting Winners Without Strangling ThemStructure trails, ATR trails and time stops compared, matched to trend and mean-reversion trades.Read →12Break-Even Moves: Security Blanket or Strategy?The real statistics of moving stops to break even, when it helps, and when it just donates winners to noise.Read →13Partial Profits: Paying Yourself Along the WayScaling out at structure: the math of partials versus all-out exits, and a simple two-target framework.Read →14Risk of Ruin: The Numbers That End CareersHow risk per trade, win rate and discipline combine into ruin probability, with tables that make the danger concrete.Read →15Trading Through News With Open PositionsPre-news checklists: flatten, reduce or hold decisions, and how spreads and slippage change stop behavior during releases.Read →16The Weekend Gap ProblemHolding forex and crypto positions over weekends: gap risk realities, hedging options, and the intraday trader's clean-slate advantage.Read →17Recovering From a Big Loss the Professional WayThe staged comeback protocol: reduced size, process focus, and the metrics that earn back full risk.Read →18Your Risk Constitution: Ten Rules You Never BreakWriting a personal risk rulebook — the non-negotiables — and the review cadence that keeps it alive.Read →
CHAPTER 2

Trade Execution & Order Types

10 lessons
    01Order Types: The Complete Practical GuideMarket, limit, stop and stop-limit orders: what each does, fills you get, and the right tool for every situation.Read →02Limit Entries vs Market Entries: The Cost of ImpatienceSpread paid, slippage and fill quality compared, and when crossing the spread is actually worth it.Read →03Stop Orders for Entry: Trading the Break Without WatchingBuy-stops and sell-stops as breakout tools, their trap risk, and pairing them with cancel conditions.Read →04OCO and Bracket Orders: The Set-and-Manage FrameworkOne-cancels-other mechanics and full bracket tickets: entering with stop and target attached, every time.Read →05Partial Fills, Requotes and Real Execution BehaviorWhat actually happens between click and fill, and reading execution reports to audit your own cost of trading.Read →06The Trade Ticket Routine: Zero-Error Order EntryA pre-flight checklist for every ticket — instrument, direction, size, stop, target — that makes fat-fingers extinct.Read →07Managing an Open Trade: The Decision TreeA flowchart for live positions: when to hold, trail, take partials or kill, decided in advance instead of in the moment.Read →08Exits: The Skill That Decides Your Equity CurveWhy exits outweigh entries in P&L terms, exit taxonomy — target, trail, time, signal — and matching exit to setup.Read →09Time Stops: Exiting Trades That Go NowhereThe dead-trade problem: why stagnant positions cost more than they seem, and time-based exit rules that free capital.Read →10Latency, Platform Hygiene and the One-Click DangerPractical execution infrastructure: platform settings, one-click safeguards, and the checks before every session.Read →
CHAPTER 3

Trading Psychology

20 lessons
    01Why Trading Psychology Is Half the JobThe gap between knowing and doing: why sound strategies fail in human hands, and what mental skills close the gap.Read →02Fear in Trading: The Four FacesFear of loss, of missing out, of giving back, of being wrong — how each distorts decisions and the counter-move for each.Read →03Greed: When Winning Becomes the ProblemOversizing after wins, target-moving and euphoria: the greed patterns that turn green days red.Read →04FOMO: The Chase That Empties AccountsThe mechanics of chasing entries, why late entries carry the worst risk-reward, and the re-entry framework that kills FOMO.Read →05Revenge Trading: Breaking the Tilt CycleThe loss-anger-oversize spiral, its warning signs in your own behavior, and the interrupts that stop tilt cold.Read →06Overtrading: When Activity Replaces EdgeDiagnosing overtrading from your own journal, its root causes — boredom, recovery, sunk time — and the constraints that cure it.Read →07Discipline Is a System, Not a Personality TraitWhy willpower fails and environment wins: checklists, lockouts and friction design that make discipline automatic.Read →08Patience: Waiting as a Competitive AdvantageThe skill of doing nothing: why fewer, better trades outperform, and drills that train the waiting muscle.Read →09Confidence vs Overconfidence: Calibrating BeliefBuilding earned confidence from evidence while guarding against the overconfidence that follows winning streaks.Read →10Handling Losing Streaks Without Losing YourselfThe statistics of streaks that normal variance produces, and the psychological survival kit for the red run.Read →11The Winning-Streak TrapWhy hot streaks precede blowups, the euphoria checklist, and size discipline exactly when you feel invincible.Read →12Loss Aversion: Why Losing $100 Hurts More Than Winning $100 Feels GoodThe bias behind cut-winners-ride-losers, and mechanical exits as the antidote.Read →13Anchoring, Recency and the Biases That Read Charts For YouThe cognitive biases that pre-write your analysis, with concrete de-biasing rituals for session prep.Read →14The Process Scorecard: Grading Days by Execution, Not P&LSeparating good decisions from good outcomes: a daily scorecard that rewards process while P&L catches up.Read →15Emotional Regulation at the ScreensBreathing, posture, breaks and biofeedback: the physical toolkit for staying decision-capable under fire.Read →16Building a Pre-Session Routine That Primes PerformanceThe 20-minute pre-market ritual: review, levels, scenarios, risk check — and why routine beats motivation.Read →17Journaling the Inner GameLogging emotional state alongside trades, the patterns that emerge in 30 days, and turning them into rules.Read →18Identity: Becoming the Kind of Trader Who Follows RulesIdentity-based habit change applied to trading: from 'trying not to overtrade' to 'not being a trader who overtrades'.Read →19Detachment: Trading Like the Casino, Not the GamblerThinking in samples instead of single trades, and the practical exercises that build outcome detachment.Read →20Burnout and Screen Fatigue: Sustainable Trading CareersRecognizing cognitive depletion, structuring sessions and weeks for recovery, and why rest is a performance tool.Read →

Next path: The Desk Path

Turn the skill into paid results: how a Daily Funded Session is scored, and how to build a trading record that compounds.