Trading Academy · Hong Kong

Trading Education,
Stripped of the Hype.

We don't sell signal groups or instant wealth. We provide a structured, institutional-grade curriculum designed to transform independent traders into disciplined risk managers. No shortcuts. Just quantitative data and market mechanics.

Academy Overview
Modules8 Core Pillars
Max Risk1.0% Per Trade
Tax StatusASIC/Global
Horizon12-24 Months
Flagship Program12-Week Intensive

The Institutional Foundation & Execution Pathway

Our master program covering market microstructure, London session liquidity sweeps, mathematical position sizing, and cognitive risk management. Built for traders serious about capital survival.

Order Flow & Depth of Market
Statistical Backtesting Math
Prop Firm Evaluation Prep
Core Learning Modules

Master the Financial Markets

StrategyAdvanced

Day Trading

Master the highest-intensity trading environment. Learn how to navigate the London Open, manage intraday volatility, and treat day trading like a mechanical business rather than a casino.

Time Commitment:12-24 months
Explore Module
Strategy

Swing Trading

Capture medium-term price moves. Ideal for those with full-time jobs who want to trade the daily and 4-hour timeframes with precision.

Explore Module
MarketAdvanced

Forex Trading

The complete institutional guide to trading the Foreign Exchange market. Learn how to trade the major pairs, understand central bank policy, and manage extreme leverage.

Time Commitment:12-24 months
Explore Module
MarketAdvanced

Crypto Trading

Navigate the high-volatility world of digital assets. Learn to trade Bitcoin, Ethereum, and altcoins with a strict focus on institutional risk management and capital preservation.

Time Commitment:2-4 months
Explore Module
MarketBeginner

Stock Trading (UK)

A complete guide to trading the London Stock Exchange and UK-specific equities. Learn the mechanics of share dealing, how to avoid stamp duty, and LSE market hours.

Time Commitment:1-2 weeks
Explore Module
MarketAdvanced

Spread Betting

The complete guide to financial spread betting in the UK. Learn how to trade the global markets tax-free, understand how 'pounds per point' sizing works, and navigate the risks of high leverage.

Time Commitment:12-24 months
Explore Module
PsychologyIntermediate

Risk Management

The most important skill in trading. Learn the 1% rule, how to calculate precise position sizing, and how to survive the inevitable drawdowns without emotional damage.

Time Commitment:12-24 months
Explore Module
PsychologyAdvanced

Trading Psychology

Your technical analysis is useless if your psychology is compromised. Learn to build an emotionless, mechanical mindset that treats trading as a strict probability business.

Time Commitment:12-24 months
Explore Module
StrategyIntermediate

Technical Analysis

The complete guide to technical analysis for modern traders. Learn how to read price action, identify true support and resistance, and trade alongside institutional order flow.

Time Commitment:12-24 months
Explore Module
StrategyBeginner

Candlestick Patterns

Master Japanese candlestick patterns to time your entries. Learn to identify hammers, engulfing bars, and institutional footprints before the trend reverses.

Time Commitment:12-24 months
Explore Module
FoundationBeginner

Position Sizing

The complete guide to calculating position size in trading. Learn the exact formula for Forex, Indices, and Crypto to ensure you never risk more than 1% per trade.

Time Commitment:1 week
Explore Module
FoundationBeginner

Trading Tax (UK)

An honest look at HMRC rules for UK traders. Understand Stamp Duty, Capital Gains Tax, and the massive mathematical benefits of Spread Betting vs CFDs.

Time Commitment:1 week
Explore Module
MarketIntermediate

Commodity Trading

The complete guide to trading global commodities in the UK. Understand the drivers of Gold, Silver, Crude Oil, and Natural Gas, and how to use them to diversify your portfolio.

Time Commitment:2-4 weeks
Explore Module
MarketBeginner

Index Trading

The complete guide to trading global stock indices. Master the volatility of the DAX, the stability of the FTSE 100, and the momentum of the Nasdaq.

Time Commitment:1-2 weeks
Explore Module
StrategyAdvanced

Scalping Strategies

The complete guide to scalping the financial markets. Learn how to profit from tiny price moves using high-frequency execution, Level 2 data, and ultra-tight spreads.

Time Commitment:3-6 months
Explore Module
StrategyAdvanced

Fundamental Analysis

Go beyond the charts. Understand GDP, inflation data, and Central Bank interest rates to build a high-conviction macroeconomic bias.

Time Commitment:2-4 months
Explore Module
StrategyAdvanced

Order Flow Trading

Master institutional order flow. Learn to read the DOM, Level 2 data, and footprint charts to identify exactly where the big money is buying and selling.

Time Commitment:3-6 months
Explore Module
Strategy

Fibonacci

Master the Golden Ratio. Learn how to identify natural pulling points in the market for precise entries and exits.

Explore Module
Strategy

Moving Averages

Smooth out the noise. Learn how to use the 50, 100, and 200 EMA to identify the dominant trend and dynamic support.

Explore Module
Strategy

Volume Profile

Find the Point of Control. Learn how to use volume by price to see where the market has found fair value and where it is imbalanced.

Explore Module
Strategy

Algorithmic Trading

The complete guide to professional-grade automated trading. Learn to codify your edge and remove biological emotion from your execution.

Explore Module
Foundation

CFD Trading

The complete guide to Contracts for Difference. Learn how to trade price movements without owning the underlying asset.

Explore Module
Strategy

Options Trading

Learn to trade volatility and time. Understand calls, puts, and how to use options to hedge your portfolio.

Explore Module
Strategy

Price Action Trading

The purest form of technical analysis. Learn to read the story of the market without any lagging indicators.

Explore Module
Education

Trading Courses

Navigate the education minefield. Learn how to choose a legitimate trading course and what to avoid.

Explore Module
Foundation

Online Trading

The digital gateway to the world's markets. Learn how online trading has evolved and how to stay safe in 2026.

Explore Module
Market

Futures Trading

Master the professional's market. Learn to trade standardized contracts for indices, commodities, and currencies.

Explore Module
MarketAdvanced

Prop Firm Trading

The proprietary trading industry offers retail traders access to six-figure capital. But navigating the rules, trailing drawdowns, and payout compliance requires an institutional approach. Learn how to select a reputable firm, size risk, and trade professionally.

Time Commitment:6-12 months
Explore Module
StrategyIntermediate

Backtesting

Most retail traders backtest three weeks of data, get a 70% win rate, and start trading real capital. This guide teaches the institutional approach: statistical sample sizing, MAE optimization, and Monte Carlo stress testing.

Time Commitment:1-2 months
Explore Module
MarketAdvanced

Macro Trading

Price action shows you where price is, but macroeconomics tells you why it moves. Learn to read central bank statements, monitor interest rate differentials, and build a weekly directional bias.

Time Commitment:6-12 months
Explore Module
ToolsAdvanced

AI Trading Tools

Artificial intelligence is not replacing traders, but it is replacing traders who refuse to adapt. Learn how to use LLMs as research partners, build custom scanners, and automate TradingView strategies.

Time Commitment:2-4 months
Explore Module
MarketAdvanced

FTMO Challenge

FTMO is the industry benchmark for prop firm capital. But passing requires strict compliance with daily drawdowns and consistency rules. Learn the conservative sizing playbook to pass Phase 1 and Phase 2.

Time Commitment:3-6 months
Explore Module
The Drawdown Methodology

The Four Pillars of Institutional Execution

Most retail trading education focuses on decorative indicators and hindsight chart patterns. Our curriculum is built around the four mechanical pillars that govern real financial markets.

1. Market Microstructure & Order Flow

Understand how electronic communication networks (ECNs) matching engines, depth of market (DOM), and tier-1 bank liquidity pools interact. Learn why London Open volatility sweeps retail stop-losses before initiating major trends.

2. Mathematical Risk Management

Capital preservation is the prerequisite for profitability. Learn strict 1% risk modeling, mathematical lot size calculation, expected value (EV) formulas, and how to survive catastrophic market drawdowns without panic.

3. Behavioral Psychology & Cognitive Control

Human evolution hardwires us to cut winners early and hold losers hoping for a turnaround. We teach mechanical trading frameworks that neutralize FOMO, revenge trading, and emotional over-leveraging.

4. Quantitative Backtesting & Edge Verification

If you cannot verify your statistical win-rate over 100 historical trades, you are gambling. Learn to log metrics, calculate Sharpe ratios, analyze sample sizes, and continuously refine your trading plan.

Frequently Asked Questions

Realistic Answers to Common Questions

Becoming consistently profitable typically takes 12 to 24 months of deliberate, structured practice. The first 6 months focus on understanding market mechanics and risk management math; the next 6 months are spent developing emotional discipline and backtesting; and year two is where statistical consistency develops for traders who survive the learning curve.

Ready to verify your edge?

Explore Our Suite of Professional Tools & Data

Complement your educational foundation with our quantitative risk calculators, broker analysis engine, and live market pulse monitors.