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Блог

Блог о трейдинге

Системно, глубоко, применимо. Отобрано для новичков.

Фильтр по темам
#beginners 86#technical-analysis 63#advanced 57#risk-management 48#forex 43#foundations 42#psychology 42#candlesticks 40#indicators 38#glossary 37#reference 37#compliance 35#fibonacci 31#macro 30#fundamental-analysis 30#tools 27#patterns 25#stocks 23#sentiment 22#price-action 22#price-structure 22#crypto 21#technicals 21#algorithmic 21#quant-trading 21#market-structure 20#trading-systems 20#backtesting 20#smart-money-concepts 20#elliott-wave 19#wave-theory 19#intermarket 19#platforms 19#market-cycles 19#wyckoff 18#taxes 18#positioning 18#regulation 18#behavioral-finance 18#statistics 18#quantitative 18#market-phases 18#supply-demand 17#zones 17#commodities 17#trading-plan 17#journal 17#trading-styles 17#comparison 17#portfolio-theory 17#money-management 17#vsa 16#volume-analysis 16#market-profile 16#volume-profile 16#chart-patterns 16#trading-business 16#operations 16#order-flow 16#tape-reading 16#advanced-charting 16#prop-firm 16#pivot-points 13#institutional 13#smart-money 12#fundamentals 11#seasonality 11#Crypto 10#strategies 9#harmonic-patterns 9#chart-types 9#funding 9#economic-data 8#etfs 8#accumulation 7#beginner 7#currency 7#etf 7#smc 7#systems 7#evaluation 7#harmonic 7#discipline 7#basics 6#macroeconomics 6#valuation 6#stop-loss 5#position-sizing 5#strategy 5#income 5#Technology 4#emotions 4#central-banks 4#options 4#analysis 4#Web3 3#DeFi 3#Risk Management 3#risk-reward 3#trading-strategies 3#metrics 3#monetary-policy 3#financial-statements 3#derivatives 3#bonds 3#indices 3#defi 3#support-resistance 2#breakouts 2#bias 2#portfolio 2#volatility 2#vix 2#ratios 2#value-investing 2#earnings 2#dividends 2#short-selling 2#corporate-finance 2#margin 2#fixed-income 2#trading 2#safe-haven 2#energy 2#trading-mistakes 1#Foundations 1#Regulation 1#Stablecoin 1#Staking 1#Layer2 1#Security 1#Trading 1#mistakes 1#moving-averages 1#trendlines 1#gaps 1#channels 1#rules 1#routine 1#mindset 1#take-profit 1#health 1#labor-market 1#market-psychology 1#sector-rotation 1#safe-havens 1#profitability 1#leading-indicator 1#market-cap 1#income-statement 1#inflation 1#cash-flow 1#balance-sheet 1#value 1#corporate-actions 1#screeners 1#sectors 1#dilution 1#reits 1#real-estate 1#penny-stocks 1#day-trading 1#greeks 1#brokerage 1#leverage 1#ipo 1#inverse 1#index-funds 1#growth 1#futures 1#covered-calls 1#diversification 1#cash-secured-puts 1#blue-chips 1#after-hours 1#yield-curve 1#stablecoins 1#silver 1#precious-metals 1#on-chain 1#oil 1#nfts 1#natural-gas 1#gold 1#ethereum 1#dollar 1#wallets 1#security 1#exchanges 1#copper 1#industrial-metals 1#bitcoin 1#altcoins 1#agriculture 1#grains 1

Последние статьи

Trading Plan Iteration and Version Management

Treating your trading plan as versioned software — with changelogs, controlled experiments, and rollback rules — keeps your edge improving without destabilizing your results.

#trading-plan#journal

Trade Review: Weekly, Monthly, and Quarterly

A structured trade review at weekly, monthly, and quarterly cadences turns trade history into a feedback loop that compounds your edge over time.

#trading-plan#journal

Swing Trading Practical Framework

Swing trading holds positions for days to weeks and offers the best risk-adjusted style for most traders with day jobs, balancing edge size with manageable time commitment.

#trading-styles#comparison

Stock Markets and Safe Haven Currencies

When equity risk appetite cracks, capital flows into safe haven currencies like JPY and CHF, and reading that flow gives FX traders an early warning system.

#intermarket#macro

Scalping: The Real Difficulty Explained

Scalping — holding positions for seconds to minutes — looks easy but is the hardest trading style due to costs, speed, and the razor-thin edge that separates profit from ruin.

#trading-styles#comparison

Psychological Journal and Emotional Tagging

A psychological journal with emotional tagging reveals the hidden patterns between your mood, your state, and your trading decisions that pure P&L never shows.

#trading-plan#journal

Prop Firm vs Standard Account Risk Rules

Prop firm accounts demand stricter risk management than standard broker accounts because of trailing drawdown, consistency rules, and the binary pass-or-fail consequences of a breach.

#prop-firm#funding

Multi-Account Management Compliance

Managing multiple prop firm accounts — across firms or within one — requires strict compliance with copy trading bans, correlation rules, and identical-strategy prohibitions to avoid losing all accounts at once.

#prop-firm#funding

Sustainable Prop Firm Trading Path

A sustainable prop firm trading path treats funded accounts as a long-term income stream built on consistent risk, capital withdrawal, and diversification rather than one-shot challenges.

#prop-firm#funding

Prop Firm Scams and Identification Checklist

Prop firm scams range from fake payout proofs to rule-changing schemes, and this checklist helps you identify red flags before you pay for a challenge.

#prop-firm#funding

Why Prop Firms Reject Traders

Prop firms reject traders not only for failing the challenge but for inconsistent trading, rule violations, payment disputes, and pattern detection of unsustainable strategies.

#prop-firm#funding

Prop Firm 101: Business Model and Rules

Prop firms fund traders who pass an evaluation challenge, and understanding their business model — evaluation fees, drawdown rules, profit splits — is essential before you sign up.

#prop-firm#funding