Structured tracks covering market foundations, technical method, risk mathematics, execution reality, data literacy and disciplined AI use.
Written by practitioners who trade the same framework the platform implements. No motivational content, no promised returns, no shortcuts that only work in hindsight.
Market structure, order types, spread and slippage. What actually happens when you press buy.
Structure, liquidity, volatility regime and multi-timeframe confirmation — the platform's own framework.
Position sizing, correlation, drawdown mathematics and why the risk gate is not an obstacle.
Fills, partials, requotes, latency and reconciliation. The gap between the chart and the account.
Reading provenance, quality flags, volume semantics and where each number comes from.
What the models can and cannot do, how to read provenance, and how to argue with an output.
The Academy teaches method, measurement and discipline. It does not teach a secret indicator, a guaranteed setup or a signal group. Those things sell better and perform worse.
Start with Foundations and Data literacy, then bring the framework into the terminal.