25 free guides, ordered from what a candle actually is through to position sizing and trading psychology. No jargon left undefined, nothing for sale, and no course upsell waiting at the end — just the material, in the order it makes sense to learn it.
Progress is stored in this browser only — no account, no tracking.
How markets work, and how to read what a chart is telling you.
Who is on the other side of your trade, how a price is formed, and why the order book decides everything.
What the body, the wicks and the colour actually tell you — with an interactive candle you can pull apart.
The dozen patterns worth learning, what each one implies, and the honest evidence on how well they work.
Market, limit, stop, stop-limit and trailing orders — when each one helps and when it quietly hurts you.
Reading price, structure and momentum — what the tools do and where they fail.
The logic behind reading price, what it can genuinely do, and the criticisms you should take seriously.
Why certain prices keep mattering, how to draw levels that are actually useful, and why zones beat lines.
Higher highs, lower lows, and how to tell a pullback from a reversal before everyone else does.
SMA vs EMA, choosing a period, and why crossovers disappoint almost everyone who trades them.
RSI, MACD and divergence — what they measure, and why 'overbought' is the most expensive word in trading.
Valuing what you trade: company numbers, macro data and central banks.
Working out what something is worth, rather than what it is priced at — and why the gap is the whole opportunity.
The three statements, how they connect, and the handful of lines that actually tell you whether a business works.
What a P/E ratio really says, why cheap stocks are often cheap for a reason, and how discounting works.
Interest rates, inflation and employment — the releases that move everything, and how to read them.
Fundamentals for what and why, technicals for when and how much. A practical framework for using both.
Stocks, forex, commodities and crypto — how each one actually behaves.
Shares, sectors and index products — the market with the best data and the clearest catalysts.
Pairs, pips, sessions and leverage — the biggest market in the world, and the easiest one to blow up an account in.
Energy, metals and agriculture — real supply and demand, and the contract quirks that catch newcomers.
24/7 markets, extreme volatility and no safety net — plus the parts that work exactly like every other market.
Scalping to position trading: choosing a timeframe that fits your life.
Intraday trading with no overnight risk — the demands, the costs, and an honest look at who succeeds.
Holding for days to weeks — the style that fits around a job, and why it suits most people best.
Months to years — where fundamentals dominate, costs vanish and patience becomes the edge.
The part that decides whether any of the rest matters.
The only part of trading you fully control — position sizing, the 1% rule, and why drawdowns are asymmetric.
Loss aversion, revenge trading and the sunk-cost trap — the predictable errors, and the systems that prevent them.
What to record, what to ignore, and how to review it so it changes your behaviour.
Charts, timeframes, drawing tools, watchlists and alerts — a practical tour of the platform most traders start on.