Two professional programmes. One foundation. One advanced. Zero fluff.
Start from ground zero with complete confidence. Understand what the stock market is, how it functions, why it exists, and why it is the world's most powerful wealth creation tool. This module demystifies complex concepts like shares, IPOs, indices, exchanges (NSE/BSE), SEBI regulations, and the role of brokers. By the end, you will have a rock-solid foundation to build everything else upon.
The stock market doesn't exist in isolation. This module explores the complete financial ecosystem — from market participants (FIIs, DIIs, retail traders, operators) to different market segments (equity, commodity, currency, derivatives). You will understand how money flows through the system and what moves markets at a macro level. This context is invaluable for any trader or investor.
Technical Analysis is the science and art of reading price charts to predict future price movements. This is the core skill of any active trader. Learn candlestick patterns, chart patterns (Head & Shoulders, Double Top/Bottom, Triangles), trend analysis, support & resistance, volume analysis, and price action. Real live charts are analysed during every session.
Go beyond the basics with a comprehensive toolkit of technical indicators used by professional traders worldwide. RSI, MACD, Bollinger Bands, Moving Averages, Stochastics, Fibonacci Retracements, Pivot Points — each indicator is explained with its mathematical basis, optimal settings, and most importantly, practical application in live market conditions. Learn how to combine indicators for high-probability setups.
For long-term investors and value hunters, fundamental analysis is the key to finding great businesses at fair or discounted prices. Learn to read financial statements (Balance Sheet, P&L, Cash Flow), understand key ratios (P/E, P/B, ROE, ROCE, Debt-to-Equity), evaluate business models and competitive moats, and identify multibagger opportunities before they become obvious to the crowd.
F&O is where the real leverage and hedging opportunities lie — but also where most uninformed traders lose money. This module cuts through the complexity and teaches you derivatives the right way. Understand how futures contracts work, options pricing (Greeks: Delta, Gamma, Theta, Vega), options strategies for various market conditions, and how to use F&O for both speculation and portfolio hedging.
Knowledge without a strategy is like a car without a steering wheel. This module teaches you how to build, test, and execute complete trading strategies with defined entry rules, exit rules, stop-loss levels, and position sizing. Learn intraday strategies, swing trading strategies, positional strategies, and how to adapt your approach to different market conditions (trending, sideways, volatile).
Penny stocks are misunderstood by most — they are both high risk and high reward. Our unique "Hero Zero" trading framework teaches you how to identify genuine turnaround stories vs. operator-manipulated traps, how to scan for fundamentally improving micro-cap companies, position sizing in high-volatility scripts, and exit discipline when penny stocks run. This module alone has the potential to be a game-changer for alert traders.
Studies show that 80% of trading success is psychological and only 20% is technical. This is why Trading Psychology is one of our most impactful modules. Understand cognitive biases (confirmation bias, loss aversion, overconfidence), emotional trading pitfalls (fear, greed, revenge trading, FOMO), how to build a disciplined trading routine, journaling practices, and the mindset shifts that separate consistently profitable traders from the rest.
Read the market the way institutions and big players trade — not the way retail textbooks teach. Understand how smart money creates liquidity traps, sweeps stop-losses, and leaves footprints on the chart. Applied directly to NSE, BSE, Forex, and Crypto charts with live examples in every session.
Master wave counting with confidence — practically applied to Nifty, BankNifty, and trending Indian stocks. Learn to map wave cycles, use Fibonacci confluence for high-probability entries, and combine Elliott Wave with SMC for precise trade setups with defined targets and stops.
High-probability reversal setups with precise entry, stop-loss, and target logic — built on price geometry. Learn to identify all major harmonic structures on Equity, Forex, and Crypto pairs. Learn to filter low-quality setups from high-conviction trades using confluence rules.
Understand the macro engine driving your trades. From Fed and RBI policy decisions to CPI, GDP, and PMI data releases — learn how global economic data impacts Indian equities, Forex pairs, and Crypto markets in real time. Build a structured approach to reading the economic calendar every week.
Turn scheduled events into structured setups — earn from volatility instead of fearing it. Learn to trade Union Budgets, RBI policy days, earnings seasons, and global macro events using disciplined F&O strategies built around expected moves and volatility expansion/contraction cycles.
See the full market picture — how Gold, Crude Oil, Crypto, Bonds, and currencies move together to signal direction before it is obvious on a single chart. Build a multi-asset correlation watchlist and develop the habit of cross-market context for every trade you take.
Understand what actually moves Gold (XAUUSD), Crude Oil, Forex currency pairs, and Crypto assets like BTCUSD and ETHUSD — and why these markets behave so differently from Nifty or BankNifty. Learn the Asian, London and New York trading sessions, session overlaps, and how Bitcoin's 24/7 market structure compares to Gold and Forex trading hours, plus key cross-market correlations like Gold versus the US Dollar Index.
Master the universal language of chart reading — candlestick patterns, trendlines, support and resistance, and classic chart patterns like triangles, flags, and head & shoulders. Every concept is applied side-by-side across XAUUSD, major currency pairs, and BTCUSD/ETHUSD charts so you learn to spot the same setups regardless of market.
Build a professional indicator toolkit: MACD, RSI, SMA/EMA, and volume analysis, along with Fibonacci retracement and extension for pinpointing high-probability reversal and continuation zones on Gold and Bitcoin swings, with settings tuned for XAUUSD and BTCUSD's higher volatility.
Learn to read Gold, Forex and Crypto charts the way institutional players do. Understand order blocks, fair value gaps, liquidity sweeps, and break of structure / change of character — applied specifically to XAUUSD's London Kill Zone volatility and BTCUSD's sudden liquidity-driven spikes.
Go deep into what drives each individual market — XAUUSD: safe-haven flows, real yields, USD correlation; Crude Oil: OPEC decisions and supply-demand cycles; Forex: EUR/USD, GBP/USD, USD/JPY, USD/INR rate differentials; BTCUSD & ETHUSD: crypto-specific volatility and weekend gap risk. Includes how each asset reacts to NFP, CPI and FOMC announcements.
Gold, Forex and Crypto are more volatile than typical equity markets, making disciplined risk management essential. Learn position sizing appropriate to each asset's volatility, stop-loss placement on XAUUSD and BTCUSD, leverage discipline, and the psychology of managing 24/7 crypto markets without overtrading.
Apply everything you've learned in live market sessions covering Gold, Forex and Crypto charts in real time, followed by structured trade review and a backtesting assignment across all three asset classes. Students who complete the course receive a Chart Code Academy certificate of completion.
Choose the programme that fits your level — MarketEdge Pro for beginners to advanced, or Apex Trader for experienced traders ready to go professional. Both courses are available online and offline with flexible batches.