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All Courses— 62 courses

VWAP Mastery: The Institutional Benchmark for Day Traders
VWAP (Volume Weighted Average Price) is the single most important intraday benchmark used by institutional traders, and understanding it can transform your day trading. This course breaks down how VWAP is calculated, why institutions care about it, and how to build practical trading strategies around it.

Momentum Trading: How to Find and Ride the Strongest Stocks
Momentum trading is one of the most powerful strategies available to intermediate traders, built on the principle that stocks trending strongly tend to continue in that direction. This course covers how to identify high-momentum candidates, time your entries and exits with precision, and manage risk in fast-moving markets.

Bollinger Bands: Trading Volatility Expansion and Contraction
Bollinger Bands are one of the most versatile volatility indicators available to traders, combining a moving average with dynamic support and resistance levels that adapt to market conditions. This course covers the mechanics of Bollinger Bands, how to interpret volatility expansion and contraction cycles, and how to build actionable trading strategies around squeezes, breakouts, and mean reversion setups.

How to Measure Your Trading Edge With Real Statistics
Most traders rely on gut feeling to assess their performance, but real edge is measured with statistics. This course walks you through the key metrics, formulas, and frameworks you need to objectively quantify whether your trading strategy has a genuine, repeatable edge in the market.

How to Read an Options Chain and Select the Right Strike
Understanding an options chain is the foundational skill every options trader needs before placing a single trade. This course walks beginners through every column of the chain, explains how to interpret key data like bid-ask spread, open interest, and implied volatility, and provides a clear framework for selecting the right strike price for your specific strategy.

How Correlation Risk Can Wipe Out a Diversified Portfolio
Diversification is the cornerstone of modern portfolio theory, yet correlation risk can render it catastrophically ineffective precisely when protection is needed most. This advanced course exposes how asset correlations shift during market stress, why traditional diversification fails, and how professional traders build portfolios that remain resilient when correlations converge toward 1.

Credit Spreads vs Debit Spreads: Choosing the Right Structure
Credit spreads and debit spreads are foundational options structures that serve different market conditions and risk profiles. This course breaks down how each spread works, when to use them, and how to select the right structure based on volatility, directional bias, and probability of profit.

Support and Resistance: How to Identify Key Price Levels
Support and resistance levels are the foundation of technical analysis, helping traders identify where price is likely to pause, reverse, or accelerate. This intermediate course teaches you how to accurately identify, draw, and trade these critical price zones using proven methods and real-world context.

Mean Reversion Trading: Fading Overextended Moves for Profit
Mean reversion trading capitalizes on the statistical tendency of prices to return toward their historical average after extreme moves. This intermediate course covers the core logic, tools, entry and exit frameworks, and risk management techniques needed to systematically fade overextended markets for consistent profit.

Implied Volatility: How IV Rank and IV Percentile Drive Option Pricing
Implied volatility is the single most important input in option pricing, yet most traders misuse it by looking at IV in isolation. This course explains how IV Rank and IV Percentile transform raw IV data into actionable trading signals, helping you identify when options are cheap or expensive relative to their historical range.

Chart Pattern Mastery: Flags, Wedges, and Triangles That Work
Master the three most reliable continuation and reversal chart patterns used by professional traders: flags, wedges, and triangles. This intermediate course covers pattern identification, entry timing, stop placement, and profit targeting with real-world context.

Portfolio Heat: Managing Total Risk Across Multiple Open Positions
Portfolio heat is the total percentage of your trading capital at risk across all open positions simultaneously. This course teaches intermediate traders how to measure, monitor, and control aggregate risk to prevent a single bad session from causing catastrophic drawdown.

How to Trade Crude Oil Futures: A Complete Strategy Guide
Master the complexities of crude oil futures trading with this advanced strategy guide covering contract specifications, fundamental and technical analysis, spread trading, and robust risk management frameworks. Learn how professional traders approach WTI and Brent markets to capitalize on price movements while managing the unique volatility inherent to energy markets. This course provides actionable frameworks you can apply immediately to your trading plan.

FOMO in Trading: How Fear of Missing Out Destroys Accounts
FOMO, or Fear of Missing Out, is one of the most destructive psychological forces in trading, causing traders to abandon their plans and chase price action at exactly the wrong moment. This beginner course breaks down what FOMO is, why it happens, how to recognize it in real time, and the concrete steps you can take to protect your account from emotionally driven decisions.

Market Structure: How to Read Higher Highs, Lower Lows, and Trend
Understanding market structure is the foundation of all technical analysis. This course teaches beginners how to identify higher highs, lower lows, and trend direction by reading price action clearly and systematically.

Stochastic Oscillator and Williams Percent Range Explained
The Stochastic Oscillator and Williams %R are two of the most powerful momentum indicators available to technical traders, both rooted in the relationship between price and its recent range. This course breaks down how each indicator works, how to read their signals accurately, and how to combine them with other tools for higher-probability trade setups.

How to Trade FOMC Days: A Playbook for Fed Announcements
FOMC announcement days represent some of the most volatile and opportunity-rich sessions in the trading calendar. This advanced course breaks down the full playbook for navigating Fed days, from pre-announcement positioning to post-press-conference follow-through, with specific strategies, risk management rules, and common pitfalls to avoid.

Day Trading Fundamentals: Rules, Patterns and the PDT Rule
Learn the essential rules and patterns that govern day trading, including the critical Pattern Day Trader (PDT) rule that every new trader must understand before placing their first short-term trade. This course covers account requirements, core intraday strategies, and the risk management principles that separate disciplined traders from those who blow up their accounts.

Multi-Timeframe Analysis: Aligning Charts for Better Trade Decisions
Multi-timeframe analysis is one of the most powerful methods professional traders use to filter noise, confirm setups, and time entries with precision. This course teaches you how to align higher and lower timeframe charts to build a structured, directional trading framework that dramatically improves trade quality and reduces false signals.

How to Backtest a Trading Strategy Without Curve Fitting
Curve fitting is one of the most dangerous pitfalls in strategy development, producing systems that look exceptional on historical data but fail immediately in live trading. This advanced course teaches rigorous backtesting methodology, walk-forward analysis, and statistical validation techniques to build strategies that generalize beyond the data they were tested on.

RSI and MACD: Momentum Indicators Every Trader Must Know
RSI and MACD are two of the most widely used momentum indicators in technical analysis, each offering unique insight into price strength and trend direction. This intermediate course breaks down how both indicators work, how to read their signals accurately, and how to combine them for higher-confidence trade setups. Walk away with practical rules and real-world examples you can apply immediately.

The Daily Loss Limit: How to Stop a Bad Day From Destroying Your Account
A single bad trading day can undo weeks of hard work if you have no system to stop the bleeding. This course teaches beginner traders how to set, calculate, and enforce a daily loss limit so that one rough session never threatens your entire account.

How to Stop Revenge Trading and Overtrading for Good
Revenge trading and overtrading are two of the most destructive habits a trader can develop, silently eroding capital and confidence over time. This course breaks down the psychological triggers behind these behaviors and provides a concrete, step-by-step framework for eliminating them from your trading practice. Whether you have blown up an account or simply noticed a pattern of irrational decisions, this course will help you build the discipline to trade on your terms.

Micro Futures: How to Trade ES, NQ, and MES With Small Accounts
Micro futures contracts have opened the door for traders with smaller accounts to access the same markets as institutional players—without the oversized risk. This course breaks down how to trade the ES, NQ, and MES contracts, covering contract specs, margin requirements, risk management, and practical strategies for building consistency.

How to Use a Trading Journal to Accelerate Your Growth
A trading journal is one of the most powerful yet underutilized tools available to traders at every level. This course teaches beginners how to build, maintain, and analyze a trading journal that transforms raw experience into measurable skill and consistent improvement.

How to Identify Accumulation and Distribution on a Chart
Master the art of reading institutional footprints on a price chart by identifying accumulation and distribution phases with precision. This advanced course covers Wyckoff methodology, volume analysis, and structural price patterns that reveal when smart money is quietly building or offloading positions. By the end, you will be equipped to anticipate major directional moves before they unfold.

How to Trade Sector ETFs for Broad Market Exposure
Sector ETFs offer beginner traders a straightforward way to gain diversified exposure to specific segments of the economy without picking individual stocks. This course covers what sector ETFs are, how they are structured, and practical strategies for using them to build broad market exposure with manageable risk.

Earnings Season Trading: Strategies for High-Volatility Events
Earnings season presents some of the most explosive trading opportunities of the year, but also the most treacherous risks. This advanced course dissects proven strategies for trading high-volatility earnings events, covering options positioning, implied volatility dynamics, pre- and post-announcement setups, and risk management frameworks used by professional traders.

Scaling Into and Out of Trades: When Averaging Makes Sense
Scaling into and out of positions is one of the most powerful yet misunderstood tools in a trader's arsenal. This course separates disciplined position sizing from the dangerous habit of averaging down, giving you a framework to add or reduce exposure only when the market confirms your thesis.

The 90-Day Trading Audit: How to Review and Improve Your Performance
A structured 90-day trading audit gives you the analytical framework to stop guessing and start improving. This course walks intermediate traders through the exact process of reviewing trades, identifying performance leaks, and building a data-driven improvement plan that compounds over time.

How to Use the VIX: Reading Market Fear and Opportunity
The VIX is one of the most powerful and misunderstood tools in a trader's arsenal. This advanced course breaks down how the CBOE Volatility Index is constructed, how to read its signals accurately, and how to translate fear and complacency into high-probability trade setups across multiple asset classes.

Win Rate vs Profit Factor: The Two Metrics That Define a System
Win rate and profit factor are the two most fundamental metrics for evaluating any trading system, yet most traders misunderstand how they interact. This course breaks down exactly what each metric measures, how they work together, and how to use them to build, validate, and improve a robust trading strategy.

Volume Profile: Understanding Price Acceptance and Rejection Zones
Volume Profile is one of the most powerful tools available to advanced traders, revealing exactly where the market has spent the most time and transacted the most volume. This course breaks down the mechanics of price acceptance and rejection zones, teaching you how to identify high-probability trade locations using Value Area, Point of Control, and developing volume structures.

Calendar Spreads: Profiting From Time Decay Differences
Calendar spreads exploit the non-linear nature of time decay by simultaneously buying and selling options at the same strike but different expirations. This advanced course covers construction, Greeks management, ideal market conditions, and risk management techniques used by professional options traders.

How Trading Costs and Slippage Erode Your Real Returns
Every trade you make carries hidden costs that quietly chip away at your profits. This course breaks down commissions, spreads, slippage, and market impact so you can measure the true cost of trading and protect your real returns.

Portfolio Heat: Managing Total Risk Across Multiple Positions
Portfolio heat measures the total percentage of your capital at risk across all open positions simultaneously, and ignoring it is one of the most common ways disciplined traders blow up otherwise well-constructed accounts. This course teaches you how to calculate, monitor, and control portfolio heat so that no single market event can cause catastrophic drawdown.

Earnings Season Trading: Strategies for Volatile Events
Master the art of trading during earnings season with our detailed strategies designed for volatile market events. Learn actionable techniques to navigate these high-stakes situations effectively.

Futures Trading 101: What Are Futures and How to Trade Them
This course provides a foundational understanding of futures trading, exploring the mechanics of futures contracts, their benefits and risks, and practical strategies for trading them effectively. Designed for beginners, this course will equip you with the knowledge to start trading futures confidently.

How to Handle Losses: The Mental Side of Drawdowns
This course delves into the psychological challenges that traders face during drawdowns, providing actionable strategies to manage losses effectively. Gain insights into resilience building, mental framing, and practical steps to recover your trading mindset.

Building a Trading Plan You'll Actually Follow
This course provides beginner traders with the essential framework to create a personalized trading plan that aligns with their goals and maintains discipline in their trading approach. Learn actionable strategies to enhance your trading psychology and adherence to your plan.

Understanding Candlestick Patterns: The Complete Guide
This comprehensive course on candlestick patterns equips beginner traders with the foundational knowledge of recognizing and interpreting key patterns in the market. By understanding these patterns, traders can make informed decisions, enhancing their technical analysis skills and improving trading outcomes.

Introduction to Technical Analysis: Reading Charts Like a Pro
This course provides a comprehensive introduction to technical analysis, equipping beginner traders with the essential skills to read and interpret charts effectively. You'll learn to identify trends, use key indicators, and make informed trading decisions.

Pre-Market Preparation: Building Your Daily Trading Routine
Learn how to effectively prepare for your trading day with actionable strategies and essential routines that can help improve your trading success in the pre-market hours. This course guides beginners through the necessary steps to build a solid daily trading preparation routine.

The R-Multiple System: Thinking in Risk/Reward Ratios
This course provides an in-depth understanding of the R-Multiple System, a powerful tool for managing risk and reward ratios in trading. Learn how to calculate and apply R-Multiples effectively to create a disciplined trading strategy.

Moving Averages Explained: SMA, EMA, and How to Use Them
This course provides an in-depth understanding of Moving Averages, specifically Simple Moving Average (SMA) and Exponential Moving Average (EMA). Learn how to apply these powerful tools in trading to identify trends, make decisions, and enhance your trading strategy.

Gap Trading: Profiting From Overnight Price Gaps
Discover the ins and outs of gap trading in this comprehensive course designed for intermediate traders. Learn actionable strategies to profit from overnight price gaps and effectively manage risks.

Position Sizing: How Much to Risk on Every Trade
Learn the fundamentals of position sizing to effectively manage risk in your trading. This course provides actionable techniques on how to determine how much to risk on every trade, ensuring long-term success in the market.

Breakout Trading: How to Trade Breakouts Correctly
This course on Breakout Trading equips traders with the essential strategies and insights to effectively trade breakouts. Learn to identify potential breakout patterns, utilize risk management techniques, and apply key indicators for successful breakout trading.

Volume Analysis: Why Volume Confirms Price Action
Unlock the secrets of trading success with our course on Volume Analysis. Learn how volume can confirm price action, support trading decisions, and enhance your overall strategy.

Options 101: Calls, Puts, and How Options Work
This course provides a foundational understanding of options trading, covering key concepts like calls, puts, and essential strategies for traders. Learn how options work, their risks and rewards, and actionable insights to enhance your trading skills.

Day Trading Fundamentals: Rules, Patterns & PDT Rule
This course provides essential knowledge for beginners in day trading, covering key rules, effective trading patterns, and a thorough understanding of the Pattern Day Trader (PDT) rule. Learn actionable strategies to confidently navigate the day trading landscape.

RSI & MACD: Momentum Indicators Every Trader Must Know
This comprehensive course on RSI and MACD delves into essential momentum indicators every trader should understand. Learn how to apply these tools effectively for enhanced trading decisions and market analysis.

Stop Loss Strategies: Where to Place Your Stops
Learn strategic techniques to effectively place stop loss orders in trading, enhancing your risk management skills and protecting your capital against unexpected market movements.

Swing Trading Strategies: Capturing Multi-Day Moves
Master the art of swing trading with our comprehensive course. Learn effective strategies to capture multi-day price movements and enhance your trading skills for better returns.

How to Use the VIX: Reading Market Fear & Opportunity
Unlock the secrets of the VIX and learn how to read market fear and opportunity. This advanced course prepares traders to utilize the VIX effectively for better market insights and trading strategies.

Support & Resistance: How to Identify Key Price Levels
Master the critical trading concepts of support and resistance in this comprehensive course designed to enhance your technical analysis skills. Learn to identify key price levels and apply them effectively in trading strategies.

Trading Psychology: Mastering Your Emotions
Master your emotions and enhance your trading performance with our comprehensive course on Trading Psychology. Understand the psychological barriers that affect decision-making and learn actionable strategies to achieve a disciplined trading mindset.

Options Greeks Demystified: Delta, Gamma, Theta, Vega
Unlock the mysteries of options trading by mastering the Options Greeks: Delta, Gamma, Theta, and Vega. This comprehensive course will equip you with practical strategies to enhance your trading decisions and manage risk effectively.

Iron Condors: Profiting in a Sideways Market
This advanced course on Iron Condors teaches traders how to capitalize on low-volatility markets. Learn strategies to set up, manage, and optimize Iron Condors for maximum profitability while minimizing risk.

Vertical Spreads: Limiting Risk While Trading Options
This course on 'Vertical Spreads: Limiting Risk While Trading Options' provides traders with an in-depth understanding of how to utilize vertical spreads in their trading strategies. Learn to manage risk effectively while maximizing your potential returns in the options market.

Risk Management Fundamentals: Protecting Your Trading Capital
This course provides essential strategies for managing risks in trading, ensuring you protect your capital while maximizing your chances for success. Learn practical techniques for risk assessment and mitigation tailored to various trading styles.

Volume Analysis: Why Volume Confirms Price Action
This course delves into the crucial role of volume in confirming price action within trading. You'll learn how to analyze volume trends, utilize volume indicators, and apply this knowledge to make informed trading decisions.
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