Investing fundamentals: from first principles
Start here. What markets are, how assets differ, and how to think about long-term investing with a calm, evidence-led mindset.
8 lessons
Whether you are placing your first trade or refining a mature process, the Academy meets you where you are. Start with fundamentals and build toward risk management, portfolio construction, and strategy testing — one clear lesson at a time.
A guided learning experience that combines explanation, practice, and honest feedback. Several capabilities below are concepts in active development.
An always-available guide that explains concepts in plain language and answers follow-up questions as you learn.
Short checks for understanding at the end of each lesson to reinforce what actually stuck.
Practice in a safe, paper environment before risking capital. Simulated results are illustrative only.
See how far you have come across each track and pick up exactly where you left off.
Recommendations that adapt to your experience and goals, so the next lesson is always the right one.
Follow a track end to end, or dip into the topic you need next. Every path is beginner-friendly in framing and honest about risk.
Start here. What markets are, how assets differ, and how to think about long-term investing with a calm, evidence-led mindset.
8 lessons
Diversification, time horizon, and cost awareness — the durable habits that matter more than any single pick.
7 lessons
Reading price and volume without illusions: trend, structure, and support/resistance as context, not certainty.
10 lessons
How common indicators are constructed, what they actually measure, and why confirmation beats prediction.
9 lessons
Income statement, balance sheet, and cash flow — the three views of a business and how they connect.
9 lessons
Multiples, discounted cash flow, and scenario thinking — building a range, not a single price target.
11 lessons
Calls, puts, and payoff structures explained clearly — with an honest emphasis on how quickly risk compounds.
12 lessons
Contracts, margin, and roll — understanding leveraged instruments and why position sizing is non-negotiable.
10 lessons
How digital-asset markets work, where the risks concentrate, and how to approach a volatile, 24/7 asset class with discipline.
7 lessons
Position sizing, stop discipline, correlation, and reserves — the framework that protects capital across every market.
8 lessons
Recognizing bias, tilt, and overconfidence — building routines that keep decisions consistent under pressure.
7 lessons
Allocation, rebalancing, and exposure monitoring — running a portfolio as a system rather than a set of trades.
10 lessons
Designing a testable rule set, avoiding overfitting, and reading backtests honestly. Hypothetical results are illustrative only.
11 lessons
No jargon, no hype, no pressure. Create a free account and follow a personalized path from the fundamentals forward.
Create your free accountNot investment advice. Trading involves risk of loss. You are responsible for your decisions.
Apply what you learn inside the same disciplined workflow — research, strategy, risk, and review.
Not investment advice. Trading involves risk of loss. You are responsible for your decisions.