Insights, strategies and market breakdowns from real traders — updated every week.
Position sizing, stop-loss discipline and the psychology behind why most traders skip the boring rules that actually keep accounts alive.
Rate expectations have shifted twice this month — here's what the pair is pricing in ahead of Thursday.
Three weeks of consistent institutional buying is doing more to price action than the supply shock narrative.
Implied volatility is pricing an 8% move either way — we break down the straddle and the key levels to watch.
It's rarely about the loss itself. A trading psychologist explains the actual trigger — and how to break the loop.
Six checks I run before every entry — and the one rule that has saved my account more than any indicator.
Markets repriced rate-cut odds within minutes of the release — here's what changed and what it means for risk assets.
Widening rate differentials have revived an old strategy. We look at the pairs and the unwind risk.
Bitcoin dominance is rolling over — a look at the on-chain and flow signals traders use to time rotation.
Most journals record numbers, not decisions. Here's the format that actually improves your next trade.
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