Forex

Trading Style

Master Forex Trading

From Currency Pairs to Macro-Driven Strategy — a complete, structured path through central banks, economic data, technical structure, and risk management.

“Forex is not simply a chart-reading exercise. Currency prices reflect the interaction of monetary policy, economic fundamentals, capital flows, risk sentiment, liquidity, and market positioning.”

57Modules
8Learning Levels
10Case Studies
Explore the Curriculum

The Forex Learning Path

The full curriculum is organized into eight progressive levels — start at Level 1 regardless of experience, since even experienced traders benefit from a structured refresher on market fundamentals and risk management. A handful of modules (market regimes, case studies, mistakes, scams, regulation, tools, dashboard, and the research framework) are cross-cutting and appear in the curriculum below rather than inside one level.

Level 1

Forex Foundations

Forex market, currency pairs, pips, lots, bid/ask, spread, trading sessions

Modules 1, 2, 3, 4, 5
Level 2

Trading Infrastructure

Brokers, trading platforms, orders, margin, leverage, execution, trading costs

Modules 6, 7, 8, 9
Level 3

Technical Analysis

Candlesticks, market structure, trends, support/resistance, indicators, chart patterns, price action

Modules 19, 20, 21, 22, 23, 24, 25, 26
Level 4

Fundamental Analysis

Economic indicators, central banks, interest rates, inflation, employment, GDP, economic calendar

Modules 10, 11, 12, 13, 14
Level 5

Forex Strategies

Trend following, breakouts, pullbacks, range trading, momentum, mean reversion, news trading, carry trade

Modules 27, 28, 29, 30, 31, 32, 33
Level 6

Risk & Professional Trading

Position sizing, leverage, risk management, trade management, psychology, trading plan, journal

Modules 35, 36, 37, 38, 39, 40
Level 7

Advanced Forex

Intermarket analysis, currency correlations, yield curves, FX volatility, FX options, hedging, market microstructure

Modules 15, 16, 17, 18, 34, 47, 48, 49
Level 8

Quantitative & Algorithmic Forex

Statistics, time series, quantitative strategies, backtesting, Monte Carlo, algorithmic execution, statistical arbitrage

Modules 41, 42, 43, 44, 45, 46

Full Curriculum — 57 Modules

Every module below will link to a dedicated lesson page as it's published. Modules marked Core Module get extra emphasis in the course. Module 55 is marked Coming Soon since it's a planned toolkit; Module 56 is marked Future Initiative since it requires live market-data feeds and is a larger undertaking than a simple calculator. Expand any module to see what it covers.

01Introduction to Forex Trading6 topics
  • What is Forex? (foreign exchange market, currency conversion, currency markets and trade, why currencies are traded, role of exchange rates)
  • What is Forex Trading? (buying one currency while selling another, speculation, trading currency pairs)
  • How Does Forex Trading Work? (base currency, quote currency, exchange rate, bid/ask price, spread)
  • Why Do Currency Prices Move? (interest rates, inflation, economic growth, central-bank policy, employment, trade flows, capital flows, political events, sentiment, risk appetite)
  • Advantages of Forex Markets (liquidity, global participation, multiple sessions, trade rising/falling markets, wide pair range)
  • Risks of Forex Trading (leverage, volatility, gaps, liquidity risk, counterparty risk, execution risk, regulatory risk, political/economic risk)
Lesson page coming soon
02Understanding the Global Forex Market4 topics
  • Global Foreign Exchange Market
  • Major Financial Centres: London, New York, Tokyo, Singapore, Hong Kong, Sydney
  • Interbank Forex Market
  • Participants: Central Banks, Commercial Banks, Investment Banks, Hedge Funds, Corporations, Importers/Exporters, Governments, Retail Traders
Lesson page coming soon
03Forex Currency Pairs7 topics
  • What is a Currency Pair? (e.g. EUR/USD = 1.1000 means 1 EUR = 1.10 USD)
  • Base Currency
  • Quote Currency
  • Major Pairs: EUR/USD, USD/JPY, GBP/USD, USD/CHF, AUD/USD, USD/CAD, NZD/USD
  • Minor Pairs/Crosses: EUR/GBP, EUR/JPY, GBP/JPY, AUD/JPY, EUR/CHF
  • Exotic Currency Pairs
  • Currency Pair Correlations
Lesson page coming soon
04Forex Quotes and Pricing14 topics
  • Bid Price
  • Ask Price
  • Spread
  • Pip
  • Pipette
  • Point
  • Lot
  • Standard Lot
  • Mini Lot
  • Micro Lot
  • Tick Value
  • Pip Value
  • Currency Conversion
  • Profit and Loss Calculation
Lesson page coming soon
05Forex Trading Sessions10 topics
  • Asian Session
  • Tokyo Session
  • European Session
  • London Session
  • New York Session
  • Session Overlaps (especially London–New York)
  • Session Volatility
  • Session Liquidity
  • Session-Based Trading Strategies
  • Daylight Saving Time Considerations
Lesson page coming soon
06Forex Trading Infrastructure10 topics
  • Forex Broker
  • Broker Types: Market Maker, ECN/STP, Hybrid
  • Trading Platform
  • Trading Account
  • Demo Account
  • Live Account
  • Margin Account
  • Deposits and Withdrawals
  • Trading Costs: Spread, Commission, Swap/Financing, Slippage
  • Broker Due Diligence
Lesson page coming soon
07Forex Order Types13 topics
  • Market Order
  • Limit Order
  • Stop Order
  • Stop-Loss Order
  • Take-Profit Order
  • Buy Stop
  • Sell Stop
  • Buy Limit
  • Sell Limit
  • Trailing Stop
  • One-Cancels-the-Other (OCO)
  • Partial Close
  • Order Execution
Lesson page coming soon
08Forex Leverage and Margin12 topics
  • What is Leverage?
  • What is Margin?
  • Initial Margin
  • Maintenance Margin
  • Margin Level
  • Margin Call
  • Stop-Out
  • Leverage Examples
  • Leverage and Position Size
  • Why High Leverage Magnifies Losses
  • Effective Exposure
  • Core principle: leverage is an exposure mechanism, not a risk-management strategy.
Lesson page coming soon
09Forex Swap and Financing8 topics
  • What is Swap?
  • Overnight Financing
  • Long vs Short Financing
  • Interest Rate Differential
  • Triple-Swap Considerations
  • Carry Cost
  • Carry Trade
  • Financing Cost in Trade Management
Lesson page coming soon
10Forex Fundamental AnalysisCore Module13 topics
  • What is Fundamental Analysis?
  • Economic Growth
  • Inflation
  • Interest Rates
  • Employment
  • Consumer Spending
  • Manufacturing
  • Services
  • Trade Balance
  • Current Account
  • Government Debt
  • Fiscal Policy
  • Monetary Policy
Lesson page coming soon
11Central Bank Analysis13 topics
  • What is a Central Bank?
  • Interest Rate Decisions
  • Monetary Policy
  • Hawkish Policy
  • Dovish Policy
  • Rate Hikes
  • Rate Cuts
  • Quantitative Easing
  • Quantitative Tightening
  • Forward Guidance
  • Central Bank Communication
  • Policy Expectations
  • Central Bank Divergence
Lesson page coming soon
12Major Central BanksCore Module10 topics
  • Individual pages for each of the following:
  • Federal Reserve (Fed/USD)
  • European Central Bank (ECB/EUR)
  • Bank of England (BoE/GBP)
  • Bank of Japan (BoJ/JPY)
  • Swiss National Bank (SNB/CHF)
  • Reserve Bank of Australia (RBA/AUD)
  • Bank of Canada (BoC/CAD)
  • Reserve Bank of New Zealand (RBNZ/NZD)
  • Reserve Bank of India (RBI/INR)
Lesson page coming soon
13Major Forex Economic Indicators10 topics
  • Inflation: CPI, Core CPI, PCE (where relevant)
  • Employment: Non-Farm Payrolls, Unemployment Rate, Employment Change, Wage Growth
  • Economic Growth: GDP, GDP Growth
  • Business Activity: PMI, Manufacturing PMI, Services PMI
  • Consumer Activity: Retail Sales, Consumer Confidence
  • Housing Data
  • Industrial Production
  • Trade Data
  • Producer Prices
  • Economic Surprise Indicators
Lesson page coming soon
14Forex Economic Calendar11 topics
  • What is an Economic Calendar?
  • High
  • Medium
  • Low-Impact Events
  • Previous
  • Forecast
  • Actual
  • Economic Surprise
  • Pre-News Positioning
  • Post-News Reaction
  • Event Risk Management
Lesson page coming soon
15Interest Rate Differentials8 topics
  • What is Interest Rate Differential?
  • Currency Valuation
  • Rate Expectations
  • Yield Curves
  • Real Interest Rates
  • Central Bank Divergence
  • Carry Trade
  • Carry Unwinding
Lesson page coming soon
16Currency Valuation7 topics
  • Purchasing Power Parity (PPP)
  • Interest Rate Parity
  • Real Effective Exchange Rate (REER)
  • Nominal Effective Exchange Rate (NEER)
  • Trade-Weighted Currency Index
  • Overvalued vs Undervalued Currency
  • Long-Term Currency Valuation
Lesson page coming soon
17Forex Intermarket Analysis10 topics
  • DXY (US Dollar Index)
  • US Treasury Yields
  • Gold and USD
  • Oil and CAD
  • AUD and Commodities
  • NZD and Risk Sentiment
  • JPY and Safe-Haven Flows
  • CHF and Risk Aversion
  • Equities and Currencies
  • Bonds and Currencies
Lesson page coming soon
18Risk-On and Risk-Off8 topics
  • Risk-On Environment
  • Risk-Off Environment
  • Safe-Haven Currencies
  • Commodity Currencies
  • Carry Currencies
  • Global Risk Sentiment
  • VIX and Currency Markets
  • Flight to Safety
Lesson page coming soon
19Forex Technical Analysis10 topics
  • Introduction to Technical Analysis
  • Price Charts
  • Timeframes
  • Multi-Timeframe Analysis
  • Market Structure / Trends
  • Support
  • Resistance
  • Breakouts
  • Pullbacks
  • Reversals
Lesson page coming soon
20Forex Market Structure11 topics
  • Higher High (HH)
  • Higher Low (HL)
  • Lower High (LH)
  • Lower Low (LL)
  • Uptrend
  • Downtrend
  • Range
  • Break of Structure (BOS)
  • Change of Character (CHoCH)
  • Liquidity Zones
  • Supply and Demand
Lesson page coming soon
21Forex Candlestick Analysis5 topics
  • Candle Anatomy: Open, High, Low, Close, Body, Wick
  • Bullish
  • Bearish Candles
  • Patterns: Doji, Hammer, Shooting Star, Pin Bar, Engulfing, Inside Bar, Morning Star, Evening Star
  • Candlestick Context
Lesson page coming soon
22Forex Chart Patterns5 topics
  • Continuation: Flags, Pennants, Triangles, Rectangles
  • Reversal: Double Top, Double Bottom, Head and Shoulders, Inverse Head and Shoulders, Rounding Top, Rounding Bottom
  • Breakout Patterns
  • Failed Breakouts
  • Pattern Confirmation
Lesson page coming soon
23Forex Indicators14 topics
  • Moving Averages: SMA, EMA, WMA
  • RSI
  • MACD
  • Bollinger Bands
  • ATR
  • Stochastic
  • ADX
  • CCI
  • Ichimoku Cloud
  • Pivot Points
  • Fibonacci Retracement
  • Extension
  • Indicator Confluence
  • Avoiding Indicator Overload
Lesson page coming soon
24Forex Volume Analysis6 topics

Unlike centralized exchange-traded markets, spot FX has no universal consolidated exchange volume feed. This module must clearly teach the difference between tick volume, broker-specific volume, futures volume, and real transaction volume where available — students should not assume Forex volume works like equity/crypto volume.

  • Tick Volume
  • Volume Spikes
  • Volume Confirmation
  • Futures Volume
  • Volume Profile
  • Volume Limitations in Spot Forex
Lesson page coming soon
25Price Action Trading11 topics
  • What is Price Action?
  • Market Structure
  • Support
  • Resistance
  • Breakout
  • Retest
  • Pullback
  • Rejection
  • Liquidity Sweep
  • False Breakout
  • Price Action Confluence
Lesson page coming soon
26Forex Liquidity and Market Microstructure10 topics
  • Liquidity
  • Bid-Ask Spread
  • Market Depth
  • Slippage
  • Liquidity Concentration
  • Stop-Loss Liquidity
  • Liquidity Sweeps
  • News Liquidity
  • Spread Expansion
  • Market Impact
Lesson page coming soon
27Forex Trading Strategies3 topics
  • Trend-Following, Momentum, Breakout, Breakout + Retest, Pullback, Range Trading, Mean Reversion
  • Support/Resistance Trading, Moving Average Strategy, RSI Strategy, MACD Strategy, Bollinger Band Strategy
  • Price Action Strategy, Supply/Demand Strategy, Carry Trade, News Trading, Session-Based Trading, Multi-Timeframe Strategy
Lesson page coming soon
28Forex Scalping9 topics
  • What is Forex Scalping?
  • Scalping Timeframes
  • Spread Considerations
  • Execution Speed
  • High-Liquidity Pairs
  • Scalping Setups
  • Scalping Risk Management
  • Transaction Costs
  • Overtrading Risk
Lesson page coming soon
29Forex Intraday Trading11 topics
  • Intraday Forex Trading
  • Session Analysis
  • Trend
  • Breakout
  • Range
  • Reversal Trading
  • News-Aware Intraday Trading
  • Intraday Entry
  • Stop Loss
  • Position Sizing
  • Trade Management
Lesson page coming soon
30Forex Swing Trading9 topics
  • Swing Trading Fundamentals
  • Daily Structure
  • 4-Hour Structure
  • Trend Pullbacks
  • Breakout + Retest
  • Multi-Day Momentum
  • Fundamental + Technical Confluence
  • Overnight/Weekend Risk
  • Swap/Financing Costs
Lesson page coming soon
31Forex Position Trading7 topics
  • Multi-Week
  • Multi-Month Trading
  • Macro Trends
  • Central Bank Cycles
  • Interest Rate Cycles
  • Currency Valuation
  • Long-Term Carry
Lesson page coming soon
32Forex News Trading12 topics
  • Why News Moves Currency Markets
  • Interest Rate Decisions
  • Inflation Releases
  • Employment Reports
  • GDP
  • Central Bank Speeches
  • Geopolitical Events
  • News Volatility
  • Spread Expansion
  • Slippage
  • Pre-News vs Post-News Trading
  • News Trading Risk
Lesson page coming soon
33Carry Trade9 topics
  • What is Carry Trade?
  • High-Yield vs Low-Yield Currency
  • Interest Differential
  • Positive Carry
  • Negative Carry
  • Carry Trade Returns
  • Carry Trade Risks
  • Carry Unwinding
  • Risk-Off Carry Reversals
Lesson page coming soon
34Currency Correlation10 topics
  • What is Correlation?
  • Positive
  • Negative Correlation
  • Correlation Matrix
  • USD Exposure
  • EUR Correlation
  • JPY Correlation
  • Commodity Currency Correlations
  • Correlation Breakdown
  • Portfolio Risk from Correlated Trades
Lesson page coming soon
35Forex Risk ManagementCore Module14 topics
  • Capital Preservation
  • Risk Per Trade
  • Position Sizing formula: Position Size = Maximum Account Risk ÷ Stop-Loss Risk per Unit
  • Stop Loss
  • Take Profit
  • Risk-Reward Ratio
  • Maximum Daily Loss
  • Maximum Weekly Loss
  • Maximum Open Exposure
  • Correlation Risk
  • Leverage Risk
  • Gap
  • News Risk
  • Tail Risk
Lesson page coming soon
36Forex Position Sizing8 topics
  • Fixed Lot Sizing
  • Fixed Percentage Risk
  • Volatility-Based
  • ATR-Based Position Sizing
  • Currency Conversion
  • Pip-Value Calculation
  • Position Size Calculator
  • Portfolio-Level Position Sizing
Lesson page coming soon
37Forex Trade Management8 topics
  • Initial Stop
  • Breakeven
  • Trailing Stop
  • Partial Profit
  • Scaling In
  • Scaling Out
  • Trade Adjustment
  • Exit Rules: Time-Based Exit, Volatility-Based Exit
Lesson page coming soon
38Forex Trading Psychology12 topics
  • Fear
  • Greed
  • FOMO
  • Revenge Trading
  • Overtrading
  • Loss Aversion
  • Confirmation Bias
  • Recency Bias
  • Overconfidence
  • Patience
  • Discipline
  • Emotional Decision-Making
Lesson page coming soon
39Forex Trading Plan14 topics
  • Trading Objective
  • Trading Style
  • Currency Pairs
  • Timeframes
  • Trading Sessions
  • Market Conditions
  • Entry Rules
  • Stop-Loss Rules
  • Target Rules
  • Position-Sizing Rules
  • Risk Limits
  • News Rules
  • No-Trade Conditions
  • Review Rules
Lesson page coming soon
40Forex Trading Journal4 topics
  • Record: Date, Currency Pair, Direction, Session, Setup, Timeframe, Entry, Stop, Target, Position Size, Pip Risk, Monetary Risk, Exit, P&L, Spread, Swap/Financing, Market Regime, News Environment, Screenshot, Emotional State, Mistake, Lesson
  • Weekly Review
  • Monthly Review
  • Strategy-Level Analysis
Lesson page coming soon
41Forex Backtesting10 topics
  • Why Backtest?
  • Historical Forex Data: OHLC, Tick Data
  • Spread Modeling
  • Slippage Modeling
  • Swap-Financing Modeling
  • News-Event Data
  • In-Sample Testing
  • Out-of-Sample Testing
  • Walk-Forward Testing
  • Monte Carlo Analysis
Lesson page coming soon
42Backtesting Biases8 topics
  • Look-Ahead Bias
  • Survivorship Bias
  • Overfitting
  • Data-Snooping Bias
  • Parameter Mining
  • Execution Assumptions
  • Spread Assumptions
  • Slippage Assumptions
Lesson page coming soon
43Forex Trading Performance Metrics13 topics
  • Win Rate
  • Average Win
  • Average Loss
  • Risk-Reward Ratio
  • Expectancy
  • Profit Factor
  • Maximum Drawdown
  • Recovery Factor
  • Sharpe Ratio
  • Sortino Ratio
  • Calmar Ratio
  • CAGR
  • Risk-Adjusted Returns
Lesson page coming soon
44Quantitative Forex Trading14 topics
  • Quantitative Trading Fundamentals
  • Probability
  • Expected Value
  • Statistical Distributions
  • Variance
  • Standard Deviation
  • Correlation
  • Regression
  • Time-Series Analysis
  • Volatility Modeling
  • Momentum Models
  • Mean-Reversion Models
  • Factor Models
  • Statistical Arbitrage
Lesson page coming soon
45Algorithmic Forex Trading12 topics
  • What is Algorithmic Trading?
  • Rule-Based Trading
  • Expert Advisors
  • API Trading
  • Automated Execution
  • Trading Bots
  • Signal Generation
  • Risk Engine
  • Portfolio Engine
  • Automated Position Sizing
  • Execution Algorithms
  • Monitoring
Lesson page coming soon
46Forex Arbitrage8 topics
  • What is Arbitrage?
  • Triangular Arbitrage
  • Cross-Broker Arbitrage
  • Statistical Arbitrage
  • Latency Arbitrage
  • Transaction Costs
  • Execution Risk
  • Practical Limitations
Lesson page coming soon
47Advanced Forex Concepts13 topics
  • Market Microstructure
  • Liquidity
  • Order Flow
  • Dealer Positioning
  • Central Bank Intervention
  • Currency Intervention
  • Yield Curve Analysis
  • Real Interest Rates
  • Cross-Currency Basis
  • Volatility Surface
  • FX Options Market
  • Risk Reversals
  • FX Implied Volatility
Lesson page coming soon
48Forex Options12 topics
  • FX Options Fundamentals
  • Calls
  • Puts
  • Strike
  • Expiration
  • Premium
  • Implied Volatility
  • Greeks: Delta, Gamma, Vega, Theta
  • Risk Reversals
  • Straddles
  • Strangles
  • Hedging Currency Exposure
Lesson page coming soon
49Corporate Forex Hedging12 topics
  • Why Companies Hedge Currency Risk
  • Importer Risk
  • Exporter Risk
  • Transaction Exposure
  • Translation Exposure
  • Economic Exposure
  • Forward Contracts
  • Futures
  • Options
  • Natural Hedging
  • Hedge Ratios
  • Hedging Case Studies
Lesson page coming soon
50Forex Market Regimes11 topics
  • Trending Market
  • Ranging Market
  • High-Volatility
  • Low-Volatility Market
  • Risk-On Regime
  • Risk-Off Regime
  • Monetary Tightening
  • Monetary Easing
  • Inflationary Regime
  • Deflationary Environment
  • Strategy Selection by Regime
Lesson page coming soon
51Forex Case Studies11 topics
  • Case 1 — Interest-rate divergence
  • Case 2 — Central-bank surprise
  • Case 3 — Major inflation release
  • Case 4 — Employment-data surprise
  • Case 5 — Breakout + retest
  • Case 6 — Failed breakout
  • Case 7 — Carry-trade reversal
  • Case 8 — Risk-off currency movement
  • Case 9 — Major geopolitical event
  • Case 10 — Currency intervention
  • Each case follows: Macro Context → Fundamental Data → Market Structure → Technical Setup → Entry → Stop → Position Size → Management → Exit → Outcome → Lesson
Lesson page coming soon
52Common Forex Trading Mistakes17 topics
  • Excessive Leverage
  • Trading Without a Stop Loss
  • Oversized Positions
  • Overtrading
  • Revenge Trading
  • FOMO
  • Ignoring Economic Calendar
  • Trading During Major News Without a Plan
  • Ignoring Spread
  • Ignoring Swap-Financing
  • Ignoring Correlations
  • Trading Too Many Currency Pairs
  • Using Too Many Indicators
  • Changing Strategy After a Few Losses
  • Curve-Fitting
  • Following Unverified Signals
  • Believing Guaranteed-Return Claims
Lesson page coming soon
53Forex Scams and Fraud ProtectionCore Module12 topics
  • Fake Forex Brokers
  • Guaranteed Returns
  • Signal Scams
  • Managed Account Scams
  • Ponzi Schemes
  • Fake Trading Platforms
  • Social Media Trading Scams
  • Fake Prop-Trading Claims
  • Recovery Scams
  • Impersonation
  • How to Verify a Broker
  • Regulatory Register Verification
Lesson page coming soon
54Forex Regulation11 topics

Indian users should be taught to verify whether a specific broker, product, platform, and transaction is permitted under the latest applicable Indian regulatory framework. This section must be updated whenever regulations change.

  • Forex Regulation in India: RBI Framework, FEMA Framework
  • Permitted Currency Derivatives
  • Exchange-Traded Currency Derivatives
  • Authorized Persons
  • Intermediaries
  • SEBI Framework
  • NSE
  • BSE Currency Derivatives
  • Investor Protection
  • Unauthorized Forex Platforms
  • International Regulation: CFTC/NFA (US), FCA (UK), ASIC (Australia), CySEC (Cyprus/EU), other applicable regulators
Lesson page coming soon
55Forex Trading ToolsComing Soon4 topics

Planned Forex Toolkit build — not existing lesson content yet.

  • Pip Calculator, Pip Value Calculator, Position Size Calculator, Forex Risk Calculator, Margin Calculator
  • Leverage Calculator, Profit/Loss Calculator, Risk-Reward Calculator, Swap/Financing Calculator
  • Currency Conversion Calculator, ATR Position Size Calculator, Drawdown Calculator, Correlation Calculator
  • CAGR Calculator, Compounding Calculator
Lesson page coming soon
56Forex Market DashboardFuture Initiative6 topics

Same as Crypto's dashboard concept — requires live data feeds and API integration. Scoped as its own future project, not bundled with Module 55's static calculators.

  • Currency Market: major pairs, crosses, INR pairs
  • Macro: interest rates, inflation, GDP, employment, PMI
  • Central Banks: current/previous/expected policy rate, policy direction
  • Market: DXY, Treasury yields, volatility, major indices, gold, oil
  • Technical: trend, RSI, ATR, moving averages, support/resistance
  • Sentiment: risk-on/risk-off, positioning, volatility
Lesson page coming soon
57Forex Research FrameworkCore Module15 topics
  • A repeatable 14-step process for analyzing any currency pair:
  • 1. Identify the Currency Pair (e.g. EUR/USD)
  • 2. Analyze Both Economies (e.g. Eurozone vs United States)
  • 3. Compare Monetary Policy (e.g. ECB vs Federal Reserve)
  • 4. Compare Interest Rates
  • 5. Analyze Economic Data (inflation, employment, GDP, PMI, etc.)
  • 6. Analyze Risk Sentiment (risk-on or risk-off?)
  • 7. Analyze Intermarket Relationships (DXY, bonds, equities, commodities)
  • 8. Analyze Technical Structure (trend → support/resistance → momentum → volatility)
  • 9. Identify Setup
  • 10. Define Invalidation
  • 11. Calculate Position Size
  • 12. Execute
  • 13. Manage
  • 14. Review
Lesson page coming soon

The Forex Trading Master Framework

Every trade idea on this site is meant to flow through a structured process, not a signal or a call. This is the full 19-step sequence we teach, from the global economy all the way down to system improvement.

1Global Economy
2Central Bank Policy
3Interest-Rate Differential
4Economic Data
5Risk Sentiment
6Currency Strength
7Intermarket Analysis
8Market Regime
9Market Structure
10Technical Setup
11Entry
12Stop-Loss
13Position Size
14Trade Management
15Exit
16Trading Journal
17Performance Analysis
18Backtesting
19System Improvement

Frequently Asked Questions

Beginner Basics

What is Forex?
The global foreign exchange market where currencies are bought and sold against one another — the largest and most liquid financial market in the world (Module 1).
How does Forex trading work?
You trade one currency against another as a pair — buying the base currency while simultaneously selling the quote currency (or vice versa) — profiting from the change in their relative exchange rate (Module 1).
What is a currency pair?
Two currencies quoted against each other, such as EUR/USD, where the first (base) currency's value is expressed in terms of the second (quote) currency — see Module 3.
What is a pip?
The smallest standardized unit of price movement in most currency pairs (typically the fourth decimal place, e.g. 0.0001 for EUR/USD) — see Module 4.
What is a lot?
A standardized trade size in Forex — a standard lot is 100,000 units of the base currency, with mini (10,000) and micro (1,000) lots available for smaller position sizes (Module 4).
What is leverage?
Borrowed exposure that lets you control a larger position than your account balance alone would allow — it magnifies both gains and losses, and is an exposure mechanism, not a risk-management strategy (Module 8).
What is margin?
The portion of your account balance set aside as collateral to open and maintain a leveraged position — see Module 8 for margin levels, margin calls, and stop-outs.
What is a spread?
The difference between the bid (sell) price and the ask (buy) price of a currency pair — effectively the cost of entering a trade before it's even moved (Module 4, Module 6).
What is swap?
The overnight financing charge or credit applied to a position held past the daily rollover time, based on the interest rate differential between the two currencies in the pair — see Module 9.

Currency Pairs & Market

What are major currency pairs?
The most heavily traded pairs, all involving the US dollar against another major economy's currency — EUR/USD, USD/JPY, GBP/USD, USD/CHF, AUD/USD, USD/CAD, and NZD/USD (Module 3).
What are minor currency pairs?
Also called cross pairs — pairs that don't include the US dollar, such as EUR/GBP, EUR/JPY, and GBP/JPY, typically with wider spreads than majors (Module 3).
What are exotic pairs?
Pairs combining a major currency with the currency of a smaller or emerging economy — these tend to have lower liquidity, wider spreads, and higher volatility than majors or minors (Module 3).
What is DXY?
The US Dollar Index — a measure of the dollar's value against a weighted basket of major currencies, widely used as an intermarket gauge of broad dollar strength or weakness (Module 17).
What is carry trade?
A strategy that borrows in a low-interest-rate currency to fund a position in a higher-interest-rate currency, aiming to earn the interest rate differential — it carries its own risks, including sharp unwinding during risk-off periods (Module 33).

Analysis & Strategy

What is fundamental analysis?
Evaluating a currency's likely direction based on economic data, central bank policy, growth, inflation, and employment trends rather than price charts alone (Module 10).
What is technical analysis?
Studying price charts, market structure, and indicators to identify patterns and levels that may inform trading decisions (Module 19).
What is the best Forex strategy?
There's no single 'best' strategy — trend-following, breakout, range, and news-based approaches each suit different market regimes (trending, ranging, high or low volatility). Module 50 covers how strategy selection should follow the current market regime rather than a fixed favorite.
What is Forex scalping?
A very short-term trading style aiming to capture small price moves over seconds to minutes, requiring tight spreads, fast execution, and strict risk control given the transaction-cost sensitivity involved (Module 28).
What is Forex swing trading?
Holding positions for several days to weeks to capture medium-term price swings, typically combining technical structure with fundamental context (Module 30).
How does interest-rate policy affect currencies?
Higher interest rates tend to attract capital seeking yield, generally supporting a currency, while rate cuts tend to have the opposite effect — though actual price impact depends heavily on expectations versus outcome (Module 11, Module 15).
How does inflation affect currencies?
Inflation data shapes expectations for central bank policy — rising inflation often raises the odds of tighter policy (supportive for the currency), while falling inflation often points toward easier policy (Module 13).
How do central-bank decisions affect Forex?
Interest rate decisions, forward guidance, and policy tone (hawkish vs dovish) directly influence capital flows and rate expectations, making central bank communication one of the biggest drivers of currency moves (Module 11, Module 12).
What is risk-on/risk-off?
A framework describing whether capital is flowing toward higher-risk, higher-return assets (risk-on) or toward safe havens like the US dollar, Japanese yen, and Swiss franc (risk-off) — see Module 18.
What is currency correlation?
The degree to which two currency pairs move in relation to each other, positively or negatively — understanding correlation helps avoid unintentionally doubling up risk across seemingly different trades (Module 34).

Risk & Regulation

What is a stop-loss?
A predefined order that closes a losing position once price reaches a set level, capping the maximum loss on that trade — a core building block of risk management (Module 35, Module 37).
How is Forex position size calculated?
Using the formula: Position Size = Maximum Account Risk ÷ Stop-Loss Risk per Unit — sizing the trade so that hitting your stop-loss only costs the amount you've decided to risk, not more (Module 35, Module 36).
What are the risks of leverage?
Leverage magnifies both gains and losses, meaning a small adverse price move can produce a loss much larger than it would without leverage — and can trigger a margin call or stop-out if losses erode available margin (Module 8).
Is Forex trading legal in India?
Forex trading itself is legal, but for Indian residents it is regulated under the RBI's FEMA framework, which permits trading in specific INR currency-derivative pairs on recognized Indian exchanges — trading foreign currency pairs through unauthorized offshore platforms generally falls outside this framework. See Module 54, and confirm current rules against official sources since this area changes.
Which Forex products are permitted for Indian residents?
Exchange-traded currency derivatives on RBI/SEBI-permitted pairs through authorized Indian intermediaries — see Module 54 for the current framework, and always verify a specific product and platform's permitted status before trading.
How can I verify a Forex broker?
Check the broker's registration against the relevant regulator's public register (for example SEBI/RBI-authorized intermediaries in India, or FCA, ASIC, CySEC, or CFTC/NFA registers internationally) rather than relying on claims made on the broker's own website — see Module 53.
Can Forex trading guarantee profits?
No trading strategy can guarantee profits. Forex trading involves substantial risk, particularly when leverage is used.

Regulatory, Legal & Investor Protection

Module 54 of this curriculum covers Forex regulation in India (RBI/FEMA/SEBI framework) and internationally, and Module 53 covers how to recognize scams and verify a broker. Please read the disclaimer below before using any content on this site.

Risk & Compliance Disclaimer

Chartwise Academy is an educational platform. Everything on this website — courses, articles, videos, tools, charts and examples — is provided for general educational and informational purposes only.

Nothing here is investment advice, trading advice, or a recommendation to buy, sell or hold any security, derivative or financial instrument. Chartwise Academy is not a SEBI‑registered Investment Adviser or Research Analyst.

Trading and investing involve substantial risk of loss and are not suitable for everyone. Past performance, backtests and hypothetical or illustrative examples are not indicative of future results — you could lose part or all of your capital.

Before acting on any strategy or idea discussed on this site, please consult a SEBI‑registered Investment Adviser or Research Analyst and consider your own financial situation, objectives and risk tolerance. Chartwise Academy and its instructors accept no liability for losses arising from reliance on this content.

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Begin with Level 1 — Forex Foundations, and work through the curriculum at your own pace.

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