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Full 30day Trading Course Detailed

The document outlines a comprehensive 30-day Forex and TradingView course designed for beginners to become practical traders. It includes detailed lessons on Forex basics, TradingView actions, indicators, strategies, risk management, and trading psychology, with a focus on practical exercises and paper trading. The course emphasizes the importance of daily practice, confluence in trading signals, and risk management principles.
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0% found this document useful (0 votes)
19 views62 pages

Full 30day Trading Course Detailed

The document outlines a comprehensive 30-day Forex and TradingView course designed for beginners to become practical traders. It includes detailed lessons on Forex basics, TradingView actions, indicators, strategies, risk management, and trading psychology, with a focus on practical exercises and paper trading. The course emphasizes the importance of daily practice, confluence in trading signals, and risk management principles.
Copyright
© © All Rights Reserved
We take content rights seriously. If you suspect this is your content, claim it here.
Available Formats
Download as PDF, TXT or read online on Scribd
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Complete 30-Day Forex & TradingView

Course ( Beginner → Practical Trader )


Detailed step-by-step lessons, TradingView actions, indicator manuals, SMC, risk management,
psychology, exercises & cheat sheets Language: Simple Hinglish + English — spoon-fed style

Prepared for: Your Trading Group (18+)


Prepared on: August 27, 2025

How to use this book:


1) Rozana 60–90 minutes dedicate karo. Book ko aise mat samjho ke bas dekh ke rich ho jaoge
— practice zaroori hai. 2) Har din ka lesson pehle padho, phir TradingView pe replicate karo, phir
exercise karo. Screenshots aur journal banana na bhoolo. 3) Paper trading pe kam az kam 30
din follow karo is plan ko. Sirf phir real capital use karo.

Table of Contents (Short)


1 Part I — Foundations (Days 1–7): Forex basics, TradingView mastery, Candles, S/R, Trends,
EMAs

2 Part II — Indicators & Tools (Days 8–14): RSI, MACD, Bollinger, ATR, Volume, VWAP, Fib
3 Part III — Strategies (Days 15–21): Pullback, Breakout-Retest, Divergence, Multi-timeframe
4 Part IV — Smart Money Concept (Days 22–26): Market Structure, Order Blocks, FVGs,
Liquidity
5 Part V — Psychology & Professional Growth (Days 27–30): Mindset, Journaling, Backtesting,
Going live

6 Appendices: Trading Plan Template, Indicator Quick Reference, Journal Excel template
ideas, Cheat sheets
Day 1: Orientation & Forex Foundations
Objectives:
Is din ke end tak tum ye samajh paoge aur TradingView pe apply kar paoge.

Lesson (Simple Explanation):


Forex market basic samjho: currency pair kya hoti hai, base vs quote, pips, lots aur kaise
profit/loss calculate hota hai. Example: EUR/USD 1.1050 se 1.1100 = 50 pips. Yeh bohot simple
hai: price upar jaye to buy se profit, neeche jaye to sell se profit depending on position. Forex
market basic samjho: currency pair kya hoti hai, base vs quote, pips, lots aur kaise profit/loss
calculate hota hai. Example: EUR/USD 1.1050 se 1.1100 = 50 pips. Yeh bohot simple hai: price
upar jaye to buy se profit, neeche jaye to sell se profit depending on position. Forex market basic
samjho: currency pair kya hoti hai, base vs quote, pips, lots aur kaise profit/loss calculate hota
hai. Example: EUR/USD 1.1050 se 1.1100 = 50 pips. Yeh bohot simple hai: price upar jaye to
buy se profit, neeche jaye to sell se profit depending on position. Forex market basic samjho:
currency pair kya hoti hai, base vs quote, pips, lots aur kaise profit/loss calculate hota hai.
Example: EUR/USD 1.1050 se 1.1100 = 50 pips. Yeh bohot simple hai: price upar jaye to buy se
profit, neeche jaye to sell se profit depending on position. Forex market basic samjho: currency
pair kya hoti hai, base vs quote, pips, lots aur kaise profit/loss calculate hota hai. Example:
EUR/USD 1.1050 se 1.1100 = 50 pips. Yeh bohot simple hai: price upar jaye to buy se profit,
neeche jaye to sell se profit depending on position. Forex market basic samjho: currency pair kya
hoti hai, base vs quote, pips, lots aur kaise profit/loss calculate hota hai. Example: EUR/USD
1.1050 se 1.1100 = 50 pips. Yeh bohot simple hai: price upar jaye to buy se profit, neeche jaye
to sell se profit depending on position.

Practical Example (Step-by-step):


Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.

TradingView Action (Do this on chart):


1 Open chart: choose timeframe as per your plan (HTF bias first).
2 Load template: EMAs + RSI + MACD or Range template.
3 Draw HTF zones with rectangle tool and label them.
4 Use replay mode to test 5 past setups of same type.
5 Place paper trade with correct lot size and SL/TP.

Exercise (Do it now):


1) Find 3 examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry
reason, SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation.

Answer Hints & Common Mistakes:


Check that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage. Check
that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage.

Mini Summary (3 points):


1 Confluence > single signals.
2 Risk management is non-negotiable (1% rule).
3 Practice in Replay/Paper trade before real money.
Day 2: Market Mechanics: Leverage, Spread, Orders,
Sessions
Objectives:
Is din ke end tak tum ye samajh paoge aur TradingView pe apply kar paoge.

Lesson (Simple Explanation):


Spread broker ka cost hai. Leverage matlab chhoti investment se bade position ko control karna.
Lekin dhyan: high leverage bada risk laata hai. Order types: market (turant), limit (fix price), stop
(price hit hone par enter). Spread broker ka cost hai. Leverage matlab chhoti investment se bade
position ko control karna. Lekin dhyan: high leverage bada risk laata hai. Order types: market
(turant), limit (fix price), stop (price hit hone par enter). Spread broker ka cost hai. Leverage
matlab chhoti investment se bade position ko control karna. Lekin dhyan: high leverage bada risk
laata hai. Order types: market (turant), limit (fix price), stop (price hit hone par enter). Spread
broker ka cost hai. Leverage matlab chhoti investment se bade position ko control karna. Lekin
dhyan: high leverage bada risk laata hai. Order types: market (turant), limit (fix price), stop (price
hit hone par enter). Spread broker ka cost hai. Leverage matlab chhoti investment se bade
position ko control karna. Lekin dhyan: high leverage bada risk laata hai. Order types: market
(turant), limit (fix price), stop (price hit hone par enter). Spread broker ka cost hai. Leverage
matlab chhoti investment se bade position ko control karna. Lekin dhyan: high leverage bada risk
laata hai. Order types: market (turant), limit (fix price), stop (price hit hone par enter).

Practical Example (Step-by-step):


Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.

TradingView Action (Do this on chart):


1 Open chart: choose timeframe as per your plan (HTF bias first).
2 Load template: EMAs + RSI + MACD or Range template.
3 Draw HTF zones with rectangle tool and label them.
4 Use replay mode to test 5 past setups of same type.
5 Place paper trade with correct lot size and SL/TP.

Exercise (Do it now):


1) Find 3 examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry
reason, SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation.

Answer Hints & Common Mistakes:


Check that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage. Check
that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage.

Mini Summary (3 points):


1 Confluence > single signals.
2 Risk management is non-negotiable (1% rule).
3 Practice in Replay/Paper trade before real money.
Day 3: TradingView Setup & Paper Trading Practice
Objectives:
Is din ke end tak tum ye samajh paoge aur TradingView pe apply kar paoge.

Lesson (Simple Explanation):


TradingView pe watchlist banao, layout save karo, paper trading connect karo. Replay mode se
backtest karo. Har chart me clean layout rakho taake signals clear nazar aaye. TradingView pe
watchlist banao, layout save karo, paper trading connect karo. Replay mode se backtest karo.
Har chart me clean layout rakho taake signals clear nazar aaye. TradingView pe watchlist banao,
layout save karo, paper trading connect karo. Replay mode se backtest karo. Har chart me clean
layout rakho taake signals clear nazar aaye. TradingView pe watchlist banao, layout save karo,
paper trading connect karo. Replay mode se backtest karo. Har chart me clean layout rakho
taake signals clear nazar aaye. TradingView pe watchlist banao, layout save karo, paper trading
connect karo. Replay mode se backtest karo. Har chart me clean layout rakho taake signals
clear nazar aaye. TradingView pe watchlist banao, layout save karo, paper trading connect karo.
Replay mode se backtest karo. Har chart me clean layout rakho taake signals clear nazar aaye.

Practical Example (Step-by-step):


Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.

TradingView Action (Do this on chart):


1 Open chart: choose timeframe as per your plan (HTF bias first).
2 Load template: EMAs + RSI + MACD or Range template.
3 Draw HTF zones with rectangle tool and label them.
4 Use replay mode to test 5 past setups of same type.
5 Place paper trade with correct lot size and SL/TP.

Exercise (Do it now):


1) Find 3 examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry
reason, SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation.

Answer Hints & Common Mistakes:


Check that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage. Check
that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage.

Mini Summary (3 points):


1 Confluence > single signals.
2 Risk management is non-negotiable (1% rule).
3 Practice in Replay/Paper trade before real money.
Day 4: Candlestick Reading: Pin Bars, Engulfing, Doji (deep)
Objectives:
Is din ke end tak tum ye samajh paoge aur TradingView pe apply kar paoge.

Lesson (Simple Explanation):


Candles ka matlab har candle open, high, low, close hota hai. Pin bar (long wick) reversal dikha
sakta hai, engulfing strong reversal, doji indecision. Humesha context (level) pe dekho. Candles
ka matlab har candle open, high, low, close hota hai. Pin bar (long wick) reversal dikha sakta hai,
engulfing strong reversal, doji indecision. Humesha context (level) pe dekho. Candles ka matlab
har candle open, high, low, close hota hai. Pin bar (long wick) reversal dikha sakta hai, engulfing
strong reversal, doji indecision. Humesha context (level) pe dekho. Candles ka matlab har
candle open, high, low, close hota hai. Pin bar (long wick) reversal dikha sakta hai, engulfing
strong reversal, doji indecision. Humesha context (level) pe dekho. Candles ka matlab har
candle open, high, low, close hota hai. Pin bar (long wick) reversal dikha sakta hai, engulfing
strong reversal, doji indecision. Humesha context (level) pe dekho. Candles ka matlab har
candle open, high, low, close hota hai. Pin bar (long wick) reversal dikha sakta hai, engulfing
strong reversal, doji indecision. Humesha context (level) pe dekho.

Practical Example (Step-by-step):


Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.

TradingView Action (Do this on chart):


1 Open chart: choose timeframe as per your plan (HTF bias first).
2 Load template: EMAs + RSI + MACD or Range template.
3 Draw HTF zones with rectangle tool and label them.
4 Use replay mode to test 5 past setups of same type.
5 Place paper trade with correct lot size and SL/TP.

Exercise (Do it now):


1) Find 3 examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry
reason, SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation.

Answer Hints & Common Mistakes:


Check that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage. Check
that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage.

Mini Summary (3 points):


1 Confluence > single signals.
2 Risk management is non-negotiable (1% rule).
3 Practice in Replay/Paper trade before real money.
Day 5: Support & Resistance Zones: HTF to LTF method
Objectives:
Is din ke end tak tum ye samajh paoge aur TradingView pe apply kar paoge.

Lesson (Simple Explanation):


Support area wo hota hai jahan buyers baar baar entry lete hain. Resistance jahan sellers aate
hain. Zone bana kar mark karo, exact line pe mat atko. Higher timeframes (4H/1D) se pehle
anchor karo. Support area wo hota hai jahan buyers baar baar entry lete hain. Resistance jahan
sellers aate hain. Zone bana kar mark karo, exact line pe mat atko. Higher timeframes (4H/1D)
se pehle anchor karo. Support area wo hota hai jahan buyers baar baar entry lete hain.
Resistance jahan sellers aate hain. Zone bana kar mark karo, exact line pe mat atko. Higher
timeframes (4H/1D) se pehle anchor karo. Support area wo hota hai jahan buyers baar baar
entry lete hain. Resistance jahan sellers aate hain. Zone bana kar mark karo, exact line pe mat
atko. Higher timeframes (4H/1D) se pehle anchor karo. Support area wo hota hai jahan buyers
baar baar entry lete hain. Resistance jahan sellers aate hain. Zone bana kar mark karo, exact
line pe mat atko. Higher timeframes (4H/1D) se pehle anchor karo. Support area wo hota hai
jahan buyers baar baar entry lete hain. Resistance jahan sellers aate hain. Zone bana kar mark
karo, exact line pe mat atko. Higher timeframes (4H/1D) se pehle anchor karo.

Practical Example (Step-by-step):


Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.

TradingView Action (Do this on chart):


1 Open chart: choose timeframe as per your plan (HTF bias first).
2 Load template: EMAs + RSI + MACD or Range template.
3 Draw HTF zones with rectangle tool and label them.
4 Use replay mode to test 5 past setups of same type.
5 Place paper trade with correct lot size and SL/TP.

Exercise (Do it now):


1) Find 3 examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry
reason, SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation.

Answer Hints & Common Mistakes:


Check that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage. Check
that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage.

Mini Summary (3 points):


1 Confluence > single signals.
2 Risk management is non-negotiable (1% rule).
3 Practice in Replay/Paper trade before real money.
Day 6: Trend Lines, Channels & Higher Highs / Lower Lows
Objectives:
Is din ke end tak tum ye samajh paoge aur TradingView pe apply kar paoge.

Lesson (Simple Explanation):


Trend ka matlab sequence of highs/lows. Trendlines draw karo from swing to swing. Channels
use karna seekho; breakout agar strong ho to trend change ka sign ho sakta hai. Trend ka
matlab sequence of highs/lows. Trendlines draw karo from swing to swing. Channels use karna
seekho; breakout agar strong ho to trend change ka sign ho sakta hai. Trend ka matlab
sequence of highs/lows. Trendlines draw karo from swing to swing. Channels use karna seekho;
breakout agar strong ho to trend change ka sign ho sakta hai. Trend ka matlab sequence of
highs/lows. Trendlines draw karo from swing to swing. Channels use karna seekho; breakout
agar strong ho to trend change ka sign ho sakta hai. Trend ka matlab sequence of highs/lows.
Trendlines draw karo from swing to swing. Channels use karna seekho; breakout agar strong ho
to trend change ka sign ho sakta hai. Trend ka matlab sequence of highs/lows. Trendlines draw
karo from swing to swing. Channels use karna seekho; breakout agar strong ho to trend change
ka sign ho sakta hai.

Practical Example (Step-by-step):


Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.

TradingView Action (Do this on chart):


1 Open chart: choose timeframe as per your plan (HTF bias first).
2 Load template: EMAs + RSI + MACD or Range template.
3 Draw HTF zones with rectangle tool and label them.
4 Use replay mode to test 5 past setups of same type.
5 Place paper trade with correct lot size and SL/TP.

Exercise (Do it now):


1) Find 3 examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry
reason, SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation.

Answer Hints & Common Mistakes:


Check that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage. Check
that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage.

Mini Summary (3 points):


1 Confluence > single signals.
2 Risk management is non-negotiable (1% rule).
3 Practice in Replay/Paper trade before real money.
Day 7: EMA & Moving Averages — Trend Filters and Crosses
Objectives:
Is din ke end tak tum ye samajh paoge aur TradingView pe apply kar paoge.

Lesson (Simple Explanation):


EMA short term 20, medium 50, long 200. Price agar 200 ke upar ho to overall bullish. Pullbacks
to EMA20/50 se entries lene ki trick badi useful hai. EMA short term 20, medium 50, long 200.
Price agar 200 ke upar ho to overall bullish. Pullbacks to EMA20/50 se entries lene ki trick badi
useful hai. EMA short term 20, medium 50, long 200. Price agar 200 ke upar ho to overall bullish.
Pullbacks to EMA20/50 se entries lene ki trick badi useful hai. EMA short term 20, medium 50,
long 200. Price agar 200 ke upar ho to overall bullish. Pullbacks to EMA20/50 se entries lene ki
trick badi useful hai. EMA short term 20, medium 50, long 200. Price agar 200 ke upar ho to
overall bullish. Pullbacks to EMA20/50 se entries lene ki trick badi useful hai. EMA short term 20,
medium 50, long 200. Price agar 200 ke upar ho to overall bullish. Pullbacks to EMA20/50 se
entries lene ki trick badi useful hai.

Practical Example (Step-by-step):


Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.

TradingView Action (Do this on chart):


1 Open chart: choose timeframe as per your plan (HTF bias first).
2 Load template: EMAs + RSI + MACD or Range template.
3 Draw HTF zones with rectangle tool and label them.
4 Use replay mode to test 5 past setups of same type.
5 Place paper trade with correct lot size and SL/TP.

Exercise (Do it now):


1) Find 3 examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry
reason, SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation.

Answer Hints & Common Mistakes:


Check that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage. Check
that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage.

Mini Summary (3 points):


1 Confluence > single signals.
2 Risk management is non-negotiable (1% rule).
3 Practice in Replay/Paper trade before real money.
Day 8: RSI Deep Dive: Regimes, Divergences, Hidden vs
Regular
Objectives:
Is din ke end tak tum ye samajh paoge aur TradingView pe apply kar paoge.

Lesson (Simple Explanation):


RSI 14 momentum dikhata hai. 70/30 levels overbought/oversold. Divergence price vs RSI jab
alag direction chalein to reversal ka hint milta hai. Hidden divergence continuation dikha sakta
hai. RSI 14 momentum dikhata hai. 70/30 levels overbought/oversold. Divergence price vs RSI
jab alag direction chalein to reversal ka hint milta hai. Hidden divergence continuation dikha
sakta hai. RSI 14 momentum dikhata hai. 70/30 levels overbought/oversold. Divergence price vs
RSI jab alag direction chalein to reversal ka hint milta hai. Hidden divergence continuation dikha
sakta hai. RSI 14 momentum dikhata hai. 70/30 levels overbought/oversold. Divergence price vs
RSI jab alag direction chalein to reversal ka hint milta hai. Hidden divergence continuation dikha
sakta hai. RSI 14 momentum dikhata hai. 70/30 levels overbought/oversold. Divergence price vs
RSI jab alag direction chalein to reversal ka hint milta hai. Hidden divergence continuation dikha
sakta hai. RSI 14 momentum dikhata hai. 70/30 levels overbought/oversold. Divergence price vs
RSI jab alag direction chalein to reversal ka hint milta hai. Hidden divergence continuation dikha
sakta hai.

Practical Example (Step-by-step):


Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.

TradingView Action (Do this on chart):


1 Open chart: choose timeframe as per your plan (HTF bias first).
2 Load template: EMAs + RSI + MACD or Range template.
3 Draw HTF zones with rectangle tool and label them.
4 Use replay mode to test 5 past setups of same type.
5 Place paper trade with correct lot size and SL/TP.

Exercise (Do it now):


1) Find 3 examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry
reason, SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation.

Answer Hints & Common Mistakes:


Check that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage. Check
that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage.

Mini Summary (3 points):


1 Confluence > single signals.
2 Risk management is non-negotiable (1% rule).
3 Practice in Replay/Paper trade before real money.
Day 9: MACD Deep Dive: Histogram, Crosses, Momentum Use
Objectives:
Is din ke end tak tum ye samajh paoge aur TradingView pe apply kar paoge.

Lesson (Simple Explanation):


MACD me cross aur histogram momentum measure karta hai. Histogram shrinking = momentum
loss. MACD ko trend ke sath align karo. MACD me cross aur histogram momentum measure
karta hai. Histogram shrinking = momentum loss. MACD ko trend ke sath align karo. MACD me
cross aur histogram momentum measure karta hai. Histogram shrinking = momentum loss.
MACD ko trend ke sath align karo. MACD me cross aur histogram momentum measure karta
hai. Histogram shrinking = momentum loss. MACD ko trend ke sath align karo. MACD me cross
aur histogram momentum measure karta hai. Histogram shrinking = momentum loss. MACD ko
trend ke sath align karo. MACD me cross aur histogram momentum measure karta hai.
Histogram shrinking = momentum loss. MACD ko trend ke sath align karo.

Practical Example (Step-by-step):


Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.

TradingView Action (Do this on chart):


1 Open chart: choose timeframe as per your plan (HTF bias first).
2 Load template: EMAs + RSI + MACD or Range template.
3 Draw HTF zones with rectangle tool and label them.
4 Use replay mode to test 5 past setups of same type.
5 Place paper trade with correct lot size and SL/TP.

Exercise (Do it now):


1) Find 3 examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry
reason, SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation.

Answer Hints & Common Mistakes:


Check that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage. Check
that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage.

Mini Summary (3 points):


1 Confluence > single signals.
2 Risk management is non-negotiable (1% rule).
3 Practice in Replay/Paper trade before real money.
Day 10: Bollinger Bands & Volatility: Squeeze and Mean
Reversion
Objectives:
Is din ke end tak tum ye samajh paoge aur TradingView pe apply kar paoge.

Lesson (Simple Explanation):


Bollinger bands se volatility pata chalta hai. Squeeze jab narrow ho to breakout aane ke chances
zyada. Mean reversion me mid-band (20MA) important hoti hai. Bollinger bands se volatility pata
chalta hai. Squeeze jab narrow ho to breakout aane ke chances zyada. Mean reversion me
mid-band (20MA) important hoti hai. Bollinger bands se volatility pata chalta hai. Squeeze jab
narrow ho to breakout aane ke chances zyada. Mean reversion me mid-band (20MA) important
hoti hai. Bollinger bands se volatility pata chalta hai. Squeeze jab narrow ho to breakout aane ke
chances zyada. Mean reversion me mid-band (20MA) important hoti hai. Bollinger bands se
volatility pata chalta hai. Squeeze jab narrow ho to breakout aane ke chances zyada. Mean
reversion me mid-band (20MA) important hoti hai. Bollinger bands se volatility pata chalta hai.
Squeeze jab narrow ho to breakout aane ke chances zyada. Mean reversion me mid-band
(20MA) important hoti hai.

Practical Example (Step-by-step):


Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.

TradingView Action (Do this on chart):


1 Open chart: choose timeframe as per your plan (HTF bias first).
2 Load template: EMAs + RSI + MACD or Range template.
3 Draw HTF zones with rectangle tool and label them.
4 Use replay mode to test 5 past setups of same type.
5 Place paper trade with correct lot size and SL/TP.

Exercise (Do it now):


1) Find 3 examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry
reason, SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation.

Answer Hints & Common Mistakes:


Check that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage. Check
that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage.

Mini Summary (3 points):


1 Confluence > single signals.
2 Risk management is non-negotiable (1% rule).
3 Practice in Replay/Paper trade before real money.
Day 11: ATR for Stops & Trailing Methods
Objectives:
Is din ke end tak tum ye samajh paoge aur TradingView pe apply kar paoge.

Lesson (Simple Explanation):


ATR volatility measure hai. Stop loss ko ATR multiple par rakhna safe hota hai. Trailing stop ko
ATR se set karo taake market noise se bach sako. ATR volatility measure hai. Stop loss ko ATR
multiple par rakhna safe hota hai. Trailing stop ko ATR se set karo taake market noise se bach
sako. ATR volatility measure hai. Stop loss ko ATR multiple par rakhna safe hota hai. Trailing
stop ko ATR se set karo taake market noise se bach sako. ATR volatility measure hai. Stop loss
ko ATR multiple par rakhna safe hota hai. Trailing stop ko ATR se set karo taake market noise se
bach sako. ATR volatility measure hai. Stop loss ko ATR multiple par rakhna safe hota hai.
Trailing stop ko ATR se set karo taake market noise se bach sako. ATR volatility measure hai.
Stop loss ko ATR multiple par rakhna safe hota hai. Trailing stop ko ATR se set karo taake
market noise se bach sako.

Practical Example (Step-by-step):


Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.

TradingView Action (Do this on chart):


1 Open chart: choose timeframe as per your plan (HTF bias first).
2 Load template: EMAs + RSI + MACD or Range template.
3 Draw HTF zones with rectangle tool and label them.
4 Use replay mode to test 5 past setups of same type.
5 Place paper trade with correct lot size and SL/TP.

Exercise (Do it now):


1) Find 3 examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry
reason, SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation.

Answer Hints & Common Mistakes:


Check that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage. Check
that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage.

Mini Summary (3 points):


1 Confluence > single signals.
2 Risk management is non-negotiable (1% rule).
3 Practice in Replay/Paper trade before real money.
Day 12: Volume, VWAP & Volume Profile (Fixed Range)
Objectives:
Is din ke end tak tum ye samajh paoge aur TradingView pe apply kar paoge.

Lesson (Simple Explanation):


Volume ko price ke sath read karo—breakout me volume spike chahiye. VWAP intraday average
price batata hai. Volume profile se value areas nikalte hain. Volume ko price ke sath read
karo—breakout me volume spike chahiye. VWAP intraday average price batata hai. Volume
profile se value areas nikalte hain. Volume ko price ke sath read karo—breakout me volume
spike chahiye. VWAP intraday average price batata hai. Volume profile se value areas nikalte
hain. Volume ko price ke sath read karo—breakout me volume spike chahiye. VWAP intraday
average price batata hai. Volume profile se value areas nikalte hain. Volume ko price ke sath
read karo—breakout me volume spike chahiye. VWAP intraday average price batata hai.
Volume profile se value areas nikalte hain. Volume ko price ke sath read karo—breakout me
volume spike chahiye. VWAP intraday average price batata hai. Volume profile se value areas
nikalte hain.

Practical Example (Step-by-step):


Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.

TradingView Action (Do this on chart):


1 Open chart: choose timeframe as per your plan (HTF bias first).
2 Load template: EMAs + RSI + MACD or Range template.
3 Draw HTF zones with rectangle tool and label them.
4 Use replay mode to test 5 past setups of same type.
5 Place paper trade with correct lot size and SL/TP.

Exercise (Do it now):


1) Find 3 examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry
reason, SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation.

Answer Hints & Common Mistakes:


Check that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage. Check
that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage.

Mini Summary (3 points):


1 Confluence > single signals.
2 Risk management is non-negotiable (1% rule).
3 Practice in Replay/Paper trade before real money.
Day 13: Fibonacci Retracement & Extensions — Practical Use
Objectives:
Is din ke end tak tum ye samajh paoge aur TradingView pe apply kar paoge.

Lesson (Simple Explanation):


Fibonacci retracement se pullback levels dhoondo. 0.382/0.5/0.618 levels common hain. Use
with structure and EMAs. Fibonacci retracement se pullback levels dhoondo. 0.382/0.5/0.618
levels common hain. Use with structure and EMAs. Fibonacci retracement se pullback levels
dhoondo. 0.382/0.5/0.618 levels common hain. Use with structure and EMAs. Fibonacci
retracement se pullback levels dhoondo. 0.382/0.5/0.618 levels common hain. Use with structure
and EMAs. Fibonacci retracement se pullback levels dhoondo. 0.382/0.5/0.618 levels common
hain. Use with structure and EMAs. Fibonacci retracement se pullback levels dhoondo.
0.382/0.5/0.618 levels common hain. Use with structure and EMAs.

Practical Example (Step-by-step):


Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.

TradingView Action (Do this on chart):


1 Open chart: choose timeframe as per your plan (HTF bias first).
2 Load template: EMAs + RSI + MACD or Range template.
3 Draw HTF zones with rectangle tool and label them.
4 Use replay mode to test 5 past setups of same type.
5 Place paper trade with correct lot size and SL/TP.

Exercise (Do it now):


1) Find 3 examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry
reason, SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation.
Answer Hints & Common Mistakes:
Check that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage. Check
that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage.

Mini Summary (3 points):


1 Confluence > single signals.
2 Risk management is non-negotiable (1% rule).
3 Practice in Replay/Paper trade before real money.
Day 14: Building Templates & Alerts in TradingView
Objectives:
Is din ke end tak tum ye samajh paoge aur TradingView pe apply kar paoge.

Lesson (Simple Explanation):


Templates se time bacha sakte ho. Alerts set karo for level break, MA cross, RSI triggers.
Replay mode se practice karo. Templates se time bacha sakte ho. Alerts set karo for level break,
MA cross, RSI triggers. Replay mode se practice karo. Templates se time bacha sakte ho. Alerts
set karo for level break, MA cross, RSI triggers. Replay mode se practice karo. Templates se
time bacha sakte ho. Alerts set karo for level break, MA cross, RSI triggers. Replay mode se
practice karo. Templates se time bacha sakte ho. Alerts set karo for level break, MA cross, RSI
triggers. Replay mode se practice karo. Templates se time bacha sakte ho. Alerts set karo for
level break, MA cross, RSI triggers. Replay mode se practice karo.

Practical Example (Step-by-step):


Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.

TradingView Action (Do this on chart):


1 Open chart: choose timeframe as per your plan (HTF bias first).
2 Load template: EMAs + RSI + MACD or Range template.
3 Draw HTF zones with rectangle tool and label them.
4 Use replay mode to test 5 past setups of same type.
5 Place paper trade with correct lot size and SL/TP.

Exercise (Do it now):


1) Find 3 examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry
reason, SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation.
Answer Hints & Common Mistakes:
Check that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage. Check
that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage.

Mini Summary (3 points):


1 Confluence > single signals.
2 Risk management is non-negotiable (1% rule).
3 Practice in Replay/Paper trade before real money.
Day 15: Chart Patterns — Double Tops/Bottoms, Head &
Shoulders, Triangles
Objectives:
Is din ke end tak tum ye samajh paoge aur TradingView pe apply kar paoge.

Lesson (Simple Explanation):


Patterns measure karna sikho. H&S; invalidation aur neckline retest important hain. Target
measure = height of pattern. Patterns measure karna sikho. H&S; invalidation aur neckline retest
important hain. Target measure = height of pattern. Patterns measure karna sikho. H&S;
invalidation aur neckline retest important hain. Target measure = height of pattern. Patterns
measure karna sikho. H&S; invalidation aur neckline retest important hain. Target measure =
height of pattern. Patterns measure karna sikho. H&S; invalidation aur neckline retest important
hain. Target measure = height of pattern. Patterns measure karna sikho. H&S; invalidation aur
neckline retest important hain. Target measure = height of pattern.

Practical Example (Step-by-step):


Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.

TradingView Action (Do this on chart):


1 Open chart: choose timeframe as per your plan (HTF bias first).
2 Load template: EMAs + RSI + MACD or Range template.
3 Draw HTF zones with rectangle tool and label them.
4 Use replay mode to test 5 past setups of same type.
5 Place paper trade with correct lot size and SL/TP.

Exercise (Do it now):


1) Find 3 examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry
reason, SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation.

Answer Hints & Common Mistakes:


Check that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage. Check
that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage.

Mini Summary (3 points):


1 Confluence > single signals.
2 Risk management is non-negotiable (1% rule).
3 Practice in Replay/Paper trade before real money.
Day 16: Breakout-Retest Strategy & Avoiding Fakeouts
Objectives:
Is din ke end tak tum ye samajh paoge aur TradingView pe apply kar paoge.

Lesson (Simple Explanation):


Breakout-retest: wait for retest, enter on rejection. Volume confirmation zaroori. Avoid entering in
HTF zone against breakout. Breakout-retest: wait for retest, enter on rejection. Volume
confirmation zaroori. Avoid entering in HTF zone against breakout. Breakout-retest: wait for
retest, enter on rejection. Volume confirmation zaroori. Avoid entering in HTF zone against
breakout. Breakout-retest: wait for retest, enter on rejection. Volume confirmation zaroori. Avoid
entering in HTF zone against breakout. Breakout-retest: wait for retest, enter on rejection.
Volume confirmation zaroori. Avoid entering in HTF zone against breakout. Breakout-retest: wait
for retest, enter on rejection. Volume confirmation zaroori. Avoid entering in HTF zone against
breakout.

Practical Example (Step-by-step):


Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.

TradingView Action (Do this on chart):


1 Open chart: choose timeframe as per your plan (HTF bias first).
2 Load template: EMAs + RSI + MACD or Range template.
3 Draw HTF zones with rectangle tool and label them.
4 Use replay mode to test 5 past setups of same type.
5 Place paper trade with correct lot size and SL/TP.

Exercise (Do it now):


1) Find 3 examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry
reason, SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation.

Answer Hints & Common Mistakes:


Check that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage. Check
that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage.

Mini Summary (3 points):


1 Confluence > single signals.
2 Risk management is non-negotiable (1% rule).
3 Practice in Replay/Paper trade before real money.
Day 17: EMA Pullback Strategy (Entry, SL, TP, Trailing)
Objectives:
Is din ke end tak tum ye samajh paoge aur TradingView pe apply kar paoge.

Lesson (Simple Explanation):


EMA pullback: entry when price touches EMA20 in strong trend with supportive RSI and small
wick rejection. EMA pullback: entry when price touches EMA20 in strong trend with supportive
RSI and small wick rejection. EMA pullback: entry when price touches EMA20 in strong trend
with supportive RSI and small wick rejection. EMA pullback: entry when price touches EMA20 in
strong trend with supportive RSI and small wick rejection. EMA pullback: entry when price
touches EMA20 in strong trend with supportive RSI and small wick rejection. EMA pullback: entry
when price touches EMA20 in strong trend with supportive RSI and small wick rejection.

Practical Example (Step-by-step):


Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.

TradingView Action (Do this on chart):


1 Open chart: choose timeframe as per your plan (HTF bias first).
2 Load template: EMAs + RSI + MACD or Range template.
3 Draw HTF zones with rectangle tool and label them.
4 Use replay mode to test 5 past setups of same type.
5 Place paper trade with correct lot size and SL/TP.

Exercise (Do it now):


1) Find 3 examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry
reason, SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation.
Answer Hints & Common Mistakes:
Check that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage. Check
that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage.

Mini Summary (3 points):


1 Confluence > single signals.
2 Risk management is non-negotiable (1% rule).
3 Practice in Replay/Paper trade before real money.
Day 18: Divergence + Break of Structure Reversals
Objectives:
Is din ke end tak tum ye samajh paoge aur TradingView pe apply kar paoge.

Lesson (Simple Explanation):


Reversal: divergence + break of structure (BOS) gives higher probability. Entry ideally on retest
of broken structure. Reversal: divergence + break of structure (BOS) gives higher probability.
Entry ideally on retest of broken structure. Reversal: divergence + break of structure (BOS) gives
higher probability. Entry ideally on retest of broken structure. Reversal: divergence + break of
structure (BOS) gives higher probability. Entry ideally on retest of broken structure. Reversal:
divergence + break of structure (BOS) gives higher probability. Entry ideally on retest of broken
structure. Reversal: divergence + break of structure (BOS) gives higher probability. Entry ideally
on retest of broken structure.

Practical Example (Step-by-step):


Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.

TradingView Action (Do this on chart):


1 Open chart: choose timeframe as per your plan (HTF bias first).
2 Load template: EMAs + RSI + MACD or Range template.
3 Draw HTF zones with rectangle tool and label them.
4 Use replay mode to test 5 past setups of same type.
5 Place paper trade with correct lot size and SL/TP.

Exercise (Do it now):


1) Find 3 examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry
reason, SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation.
Answer Hints & Common Mistakes:
Check that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage. Check
that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage.

Mini Summary (3 points):


1 Confluence > single signals.
2 Risk management is non-negotiable (1% rule).
3 Practice in Replay/Paper trade before real money.
Day 19: Multi-Timeframe Alignment (HTF bias → LTF entry)
Objectives:
Is din ke end tak tum ye samajh paoge aur TradingView pe apply kar paoge.

Lesson (Simple Explanation):


Top-down: Daily/4H decide bias, 1H for structure, 15m for entry. If HTF vs LTF disagree, skip
trade. Top-down: Daily/4H decide bias, 1H for structure, 15m for entry. If HTF vs LTF disagree,
skip trade. Top-down: Daily/4H decide bias, 1H for structure, 15m for entry. If HTF vs LTF
disagree, skip trade. Top-down: Daily/4H decide bias, 1H for structure, 15m for entry. If HTF vs
LTF disagree, skip trade. Top-down: Daily/4H decide bias, 1H for structure, 15m for entry. If HTF
vs LTF disagree, skip trade. Top-down: Daily/4H decide bias, 1H for structure, 15m for entry. If
HTF vs LTF disagree, skip trade.

Practical Example (Step-by-step):


Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.

TradingView Action (Do this on chart):


1 Open chart: choose timeframe as per your plan (HTF bias first).
2 Load template: EMAs + RSI + MACD or Range template.
3 Draw HTF zones with rectangle tool and label them.
4 Use replay mode to test 5 past setups of same type.
5 Place paper trade with correct lot size and SL/TP.

Exercise (Do it now):


1) Find 3 examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry
reason, SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation.
Answer Hints & Common Mistakes:
Check that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage. Check
that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage.

Mini Summary (3 points):


1 Confluence > single signals.
2 Risk management is non-negotiable (1% rule).
3 Practice in Replay/Paper trade before real money.
Day 20: Position Sizing, Expectancy, Risk Rules & Money
Management
Objectives:
Is din ke end tak tum ye samajh paoge aur TradingView pe apply kar paoge.

Lesson (Simple Explanation):


Position size formula: (Account × Risk%) / (SL pips × pip value). Expectancy compute karke
system long-term kaise chalega samjho. Position size formula: (Account × Risk%) / (SL pips ×
pip value). Expectancy compute karke system long-term kaise chalega samjho. Position size
formula: (Account × Risk%) / (SL pips × pip value). Expectancy compute karke system long-term
kaise chalega samjho. Position size formula: (Account × Risk%) / (SL pips × pip value).
Expectancy compute karke system long-term kaise chalega samjho. Position size formula:
(Account × Risk%) / (SL pips × pip value). Expectancy compute karke system long-term kaise
chalega samjho. Position size formula: (Account × Risk%) / (SL pips × pip value). Expectancy
compute karke system long-term kaise chalega samjho.

Practical Example (Step-by-step):


Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.

TradingView Action (Do this on chart):


1 Open chart: choose timeframe as per your plan (HTF bias first).
2 Load template: EMAs + RSI + MACD or Range template.
3 Draw HTF zones with rectangle tool and label them.
4 Use replay mode to test 5 past setups of same type.
5 Place paper trade with correct lot size and SL/TP.

Exercise (Do it now):


1) Find 3 examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry
reason, SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation.

Answer Hints & Common Mistakes:


Check that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage. Check
that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage.

Mini Summary (3 points):


1 Confluence > single signals.
2 Risk management is non-negotiable (1% rule).
3 Practice in Replay/Paper trade before real money.
Day 21: Journaling, Metrics & Trade Reviews (R-multiples)
Objectives:
Is din ke end tak tum ye samajh paoge aur TradingView pe apply kar paoge.

Lesson (Simple Explanation):


Journal: har trade ka record rakho—setup, reason, emotion, R-multiple. Weekly review se
weakness find karo. Journal: har trade ka record rakho—setup, reason, emotion, R-multiple.
Weekly review se weakness find karo. Journal: har trade ka record rakho—setup, reason,
emotion, R-multiple. Weekly review se weakness find karo. Journal: har trade ka record
rakho—setup, reason, emotion, R-multiple. Weekly review se weakness find karo. Journal: har
trade ka record rakho—setup, reason, emotion, R-multiple. Weekly review se weakness find
karo. Journal: har trade ka record rakho—setup, reason, emotion, R-multiple. Weekly review se
weakness find karo.

Practical Example (Step-by-step):


Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.

TradingView Action (Do this on chart):


1 Open chart: choose timeframe as per your plan (HTF bias first).
2 Load template: EMAs + RSI + MACD or Range template.
3 Draw HTF zones with rectangle tool and label them.
4 Use replay mode to test 5 past setups of same type.
5 Place paper trade with correct lot size and SL/TP.

Exercise (Do it now):


1) Find 3 examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry
reason, SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation.
Answer Hints & Common Mistakes:
Check that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage. Check
that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage.

Mini Summary (3 points):


1 Confluence > single signals.
2 Risk management is non-negotiable (1% rule).
3 Practice in Replay/Paper trade before real money.
Day 22: SMC Intro: What is Smart Money & Why it Matters
Objectives:
Is din ke end tak tum ye samajh paoge aur TradingView pe apply kar paoge.

Lesson (Simple Explanation):


SMC: smart money wo hoti hai jo market ko move karti hai (banks, institutions). Unki activity ko
samajhna trader ko edge deta hai. SMC: smart money wo hoti hai jo market ko move karti hai
(banks, institutions). Unki activity ko samajhna trader ko edge deta hai. SMC: smart money wo
hoti hai jo market ko move karti hai (banks, institutions). Unki activity ko samajhna trader ko edge
deta hai. SMC: smart money wo hoti hai jo market ko move karti hai (banks, institutions). Unki
activity ko samajhna trader ko edge deta hai. SMC: smart money wo hoti hai jo market ko move
karti hai (banks, institutions). Unki activity ko samajhna trader ko edge deta hai. SMC: smart
money wo hoti hai jo market ko move karti hai (banks, institutions). Unki activity ko samajhna
trader ko edge deta hai.

Practical Example (Step-by-step):


Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.

TradingView Action (Do this on chart):


1 Open chart: choose timeframe as per your plan (HTF bias first).
2 Load template: EMAs + RSI + MACD or Range template.
3 Draw HTF zones with rectangle tool and label them.
4 Use replay mode to test 5 past setups of same type.
5 Place paper trade with correct lot size and SL/TP.

Exercise (Do it now):


1) Find 3 examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry
reason, SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation.

Answer Hints & Common Mistakes:


Check that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage. Check
that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage.

Mini Summary (3 points):


1 Confluence > single signals.
2 Risk management is non-negotiable (1% rule).
3 Practice in Replay/Paper trade before real money.
Day 23: Order Blocks (OB): Identification & Trading them
safely
Objectives:
Is din ke end tak tum ye samajh paoge aur TradingView pe apply kar paoge.

Lesson (Simple Explanation):


Order Block: last bearish candle before strong bullish impulse (for buy OB) and vice versa.
Market often returns to OB for liquidity refill. Order Block: last bearish candle before strong
bullish impulse (for buy OB) and vice versa. Market often returns to OB for liquidity refill. Order
Block: last bearish candle before strong bullish impulse (for buy OB) and vice versa. Market often
returns to OB for liquidity refill. Order Block: last bearish candle before strong bullish impulse (for
buy OB) and vice versa. Market often returns to OB for liquidity refill. Order Block: last bearish
candle before strong bullish impulse (for buy OB) and vice versa. Market often returns to OB for
liquidity refill. Order Block: last bearish candle before strong bullish impulse (for buy OB) and vice
versa. Market often returns to OB for liquidity refill.

Practical Example (Step-by-step):


Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.

TradingView Action (Do this on chart):


1 Open chart: choose timeframe as per your plan (HTF bias first).
2 Load template: EMAs + RSI + MACD or Range template.
3 Draw HTF zones with rectangle tool and label them.
4 Use replay mode to test 5 past setups of same type.
5 Place paper trade with correct lot size and SL/TP.

Exercise (Do it now):


1) Find 3 examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry
reason, SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation.

Answer Hints & Common Mistakes:


Check that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage. Check
that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage.

Mini Summary (3 points):


1 Confluence > single signals.
2 Risk management is non-negotiable (1% rule).
3 Practice in Replay/Paper trade before real money.
Day 24: Fair Value Gap (FVG) & Imbalance Trading
Objectives:
Is din ke end tak tum ye samajh paoge aur TradingView pe apply kar paoge.

Lesson (Simple Explanation):


Fair Value Gap: jab ek candle gap banata hai between supply & demand, market tends to fill it.
Use as entry or zone. Fair Value Gap: jab ek candle gap banata hai between supply & demand,
market tends to fill it. Use as entry or zone. Fair Value Gap: jab ek candle gap banata hai
between supply & demand, market tends to fill it. Use as entry or zone. Fair Value Gap: jab ek
candle gap banata hai between supply & demand, market tends to fill it. Use as entry or zone.
Fair Value Gap: jab ek candle gap banata hai between supply & demand, market tends to fill it.
Use as entry or zone. Fair Value Gap: jab ek candle gap banata hai between supply & demand,
market tends to fill it. Use as entry or zone.

Practical Example (Step-by-step):


Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.

TradingView Action (Do this on chart):


1 Open chart: choose timeframe as per your plan (HTF bias first).
2 Load template: EMAs + RSI + MACD or Range template.
3 Draw HTF zones with rectangle tool and label them.
4 Use replay mode to test 5 past setups of same type.
5 Place paper trade with correct lot size and SL/TP.

Exercise (Do it now):


1) Find 3 examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry
reason, SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation.
Answer Hints & Common Mistakes:
Check that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage. Check
that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage.

Mini Summary (3 points):


1 Confluence > single signals.
2 Risk management is non-negotiable (1% rule).
3 Practice in Replay/Paper trade before real money.
Day 25: Liquidity Pools, Stop Hunts & Sweep Reversals
Objectives:
Is din ke end tak tum ye samajh paoge aur TradingView pe apply kar paoge.

Lesson (Simple Explanation):


Liquidity pools accumulate at obvious highs/lows (stop clusters). Smart money often sweeps
these to trigger stops then reverse. Liquidity pools accumulate at obvious highs/lows (stop
clusters). Smart money often sweeps these to trigger stops then reverse. Liquidity pools
accumulate at obvious highs/lows (stop clusters). Smart money often sweeps these to trigger
stops then reverse. Liquidity pools accumulate at obvious highs/lows (stop clusters). Smart
money often sweeps these to trigger stops then reverse. Liquidity pools accumulate at obvious
highs/lows (stop clusters). Smart money often sweeps these to trigger stops then reverse.
Liquidity pools accumulate at obvious highs/lows (stop clusters). Smart money often sweeps
these to trigger stops then reverse.

Practical Example (Step-by-step):


Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.

TradingView Action (Do this on chart):


1 Open chart: choose timeframe as per your plan (HTF bias first).
2 Load template: EMAs + RSI + MACD or Range template.
3 Draw HTF zones with rectangle tool and label them.
4 Use replay mode to test 5 past setups of same type.
5 Place paper trade with correct lot size and SL/TP.

Exercise (Do it now):


1) Find 3 examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry
reason, SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation.

Answer Hints & Common Mistakes:


Check that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage. Check
that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage.

Mini Summary (3 points):


1 Confluence > single signals.
2 Risk management is non-negotiable (1% rule).
3 Practice in Replay/Paper trade before real money.
Day 26: Combining SMC with Indicators: Practical Setups
Objectives:
Is din ke end tak tum ye samajh paoge aur TradingView pe apply kar paoge.

Lesson (Simple Explanation):


Combine SMC with indicators: e.g., OB in HTF + RSI divergence in LTF + MACD confirmation =
strong setup. Combine SMC with indicators: e.g., OB in HTF + RSI divergence in LTF + MACD
confirmation = strong setup. Combine SMC with indicators: e.g., OB in HTF + RSI divergence in
LTF + MACD confirmation = strong setup. Combine SMC with indicators: e.g., OB in HTF + RSI
divergence in LTF + MACD confirmation = strong setup. Combine SMC with indicators: e.g., OB
in HTF + RSI divergence in LTF + MACD confirmation = strong setup. Combine SMC with
indicators: e.g., OB in HTF + RSI divergence in LTF + MACD confirmation = strong setup.

Practical Example (Step-by-step):


Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.

TradingView Action (Do this on chart):


1 Open chart: choose timeframe as per your plan (HTF bias first).
2 Load template: EMAs + RSI + MACD or Range template.
3 Draw HTF zones with rectangle tool and label them.
4 Use replay mode to test 5 past setups of same type.
5 Place paper trade with correct lot size and SL/TP.

Exercise (Do it now):


1) Find 3 examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry
reason, SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation.
Answer Hints & Common Mistakes:
Check that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage. Check
that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage.

Mini Summary (3 points):


1 Confluence > single signals.
2 Risk management is non-negotiable (1% rule).
3 Practice in Replay/Paper trade before real money.
Day 27: Psychology I: Mindset, FOMO, Greed, Loss Aversion
Objectives:
Is din ke end tak tum ye samajh paoge aur TradingView pe apply kar paoge.

Lesson (Simple Explanation):


Mindset traps: FOMO, revenge trading, overconfidence. Simple rule: if rules break, stop for day.
Pre-trade checklist helps. Mindset traps: FOMO, revenge trading, overconfidence. Simple rule: if
rules break, stop for day. Pre-trade checklist helps. Mindset traps: FOMO, revenge trading,
overconfidence. Simple rule: if rules break, stop for day. Pre-trade checklist helps. Mindset traps:
FOMO, revenge trading, overconfidence. Simple rule: if rules break, stop for day. Pre-trade
checklist helps. Mindset traps: FOMO, revenge trading, overconfidence. Simple rule: if rules
break, stop for day. Pre-trade checklist helps. Mindset traps: FOMO, revenge trading,
overconfidence. Simple rule: if rules break, stop for day. Pre-trade checklist helps.

Practical Example (Step-by-step):


Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.

TradingView Action (Do this on chart):


1 Open chart: choose timeframe as per your plan (HTF bias first).
2 Load template: EMAs + RSI + MACD or Range template.
3 Draw HTF zones with rectangle tool and label them.
4 Use replay mode to test 5 past setups of same type.
5 Place paper trade with correct lot size and SL/TP.

Exercise (Do it now):


1) Find 3 examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry
reason, SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation.
Answer Hints & Common Mistakes:
Check that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage. Check
that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage.

Mini Summary (3 points):


1 Confluence > single signals.
2 Risk management is non-negotiable (1% rule).
3 Practice in Replay/Paper trade before real money.
Day 28: Psychology II: Discipline, Routine, Checklists
Objectives:
Is din ke end tak tum ye samajh paoge aur TradingView pe apply kar paoge.

Lesson (Simple Explanation):


Routine: pre-market plan, session time, alerts, after-market review. Discipline > signal. Use
small, consistent steps. Routine: pre-market plan, session time, alerts, after-market review.
Discipline > signal. Use small, consistent steps. Routine: pre-market plan, session time, alerts,
after-market review. Discipline > signal. Use small, consistent steps. Routine: pre-market plan,
session time, alerts, after-market review. Discipline > signal. Use small, consistent steps.
Routine: pre-market plan, session time, alerts, after-market review. Discipline > signal. Use
small, consistent steps. Routine: pre-market plan, session time, alerts, after-market review.
Discipline > signal. Use small, consistent steps.

Practical Example (Step-by-step):


Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.

TradingView Action (Do this on chart):


1 Open chart: choose timeframe as per your plan (HTF bias first).
2 Load template: EMAs + RSI + MACD or Range template.
3 Draw HTF zones with rectangle tool and label them.
4 Use replay mode to test 5 past setups of same type.
5 Place paper trade with correct lot size and SL/TP.

Exercise (Do it now):


1) Find 3 examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry
reason, SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation.
Answer Hints & Common Mistakes:
Check that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage. Check
that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage.

Mini Summary (3 points):


1 Confluence > single signals.
2 Risk management is non-negotiable (1% rule).
3 Practice in Replay/Paper trade before real money.
Day 29: Backtesting, Replay Mode Study & Optimization
Objectives:
Is din ke end tak tum ye samajh paoge aur TradingView pe apply kar paoge.

Lesson (Simple Explanation):


Backtesting: use replay, strict rules, no peeking. Record 20–50 trades per change. Optimization
without curve-fitting. Backtesting: use replay, strict rules, no peeking. Record 20–50 trades per
change. Optimization without curve-fitting. Backtesting: use replay, strict rules, no peeking.
Record 20–50 trades per change. Optimization without curve-fitting. Backtesting: use replay,
strict rules, no peeking. Record 20–50 trades per change. Optimization without curve-fitting.
Backtesting: use replay, strict rules, no peeking. Record 20–50 trades per change. Optimization
without curve-fitting. Backtesting: use replay, strict rules, no peeking. Record 20–50 trades per
change. Optimization without curve-fitting.

Practical Example (Step-by-step):


Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.

TradingView Action (Do this on chart):


1 Open chart: choose timeframe as per your plan (HTF bias first).
2 Load template: EMAs + RSI + MACD or Range template.
3 Draw HTF zones with rectangle tool and label them.
4 Use replay mode to test 5 past setups of same type.
5 Place paper trade with correct lot size and SL/TP.

Exercise (Do it now):


1) Find 3 examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry
reason, SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation.
Answer Hints & Common Mistakes:
Check that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage. Check
that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage.

Mini Summary (3 points):


1 Confluence > single signals.
2 Risk management is non-negotiable (1% rule).
3 Practice in Replay/Paper trade before real money.
Day 30: Graduation: 10-Trade Challenge, Going Live Safely
Objectives:
Is din ke end tak tum ye samajh paoge aur TradingView pe apply kar paoge.

Lesson (Simple Explanation):


10-trade challenge: pick one setup, trade 10 times with fixed risk, present stats and learning.
Going live: start tiny, scale slowly. 10-trade challenge: pick one setup, trade 10 times with fixed
risk, present stats and learning. Going live: start tiny, scale slowly. 10-trade challenge: pick one
setup, trade 10 times with fixed risk, present stats and learning. Going live: start tiny, scale
slowly. 10-trade challenge: pick one setup, trade 10 times with fixed risk, present stats and
learning. Going live: start tiny, scale slowly. 10-trade challenge: pick one setup, trade 10 times
with fixed risk, present stats and learning. Going live: start tiny, scale slowly. 10-trade challenge:
pick one setup, trade 10 times with fixed risk, present stats and learning. Going live: start tiny,
scale slowly.

Practical Example (Step-by-step):


Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.
Example: Agar EUR/USD 1.1000 pe hai aur EMA200 below, EMA50 above EMA200, price
pullback to EMA20 at 1.0980, RSI 45, ATR 10 pips. Stop loss 15 pips under recent swing, target
minimum 30 pips (1:2 R:R). Position size compute karo using account balance and risk% rules.

TradingView Action (Do this on chart):


1 Open chart: choose timeframe as per your plan (HTF bias first).
2 Load template: EMAs + RSI + MACD or Range template.
3 Draw HTF zones with rectangle tool and label them.
4 Use replay mode to test 5 past setups of same type.
5 Place paper trade with correct lot size and SL/TP.

Exercise (Do it now):


1) Find 3 examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry
reason, SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation. 1) Find 3
examples of today's setup on your chosen pair in last 30 days. 2) For each, write entry reason,
SL, TP, and compute R. 3) Share one screenshot in the group with annotation.

Answer Hints & Common Mistakes:


Check that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage. Check
that entry aligns with HTF bias, volume confirms move, and SL is not too tight. Common
mistakes: taking entries without confluence, ignoring spread, using excessive leverage.

Mini Summary (3 points):


1 Confluence > single signals.
2 Risk management is non-negotiable (1% rule).
3 Practice in Replay/Paper trade before real money.
Appendix A: Indicator Quick Reference
Indicator Settings Use
EMA 20 / 50 / 200 Trend filter; pullback entries.
RSI 14 (levels 70/50/30) Momentum; divergence; regime.
MACD 12,26,9 Momentum confirmation.
Bollinger Bands 20,2 Volatility; squeeze.
ATR 14 Volatility-based SL & trailing.
VWAP Session Intraday bias.
Volume Profile Fixed Range HVN/LVN as S/R zones.
Fibonacci 0.382/0.5/0.618; 1.272/1.618 Pullback & projection targets.

Appendix B: Trading Plan Template (Printable)


Markets & Pairs: ________________________ Session & Time Window (PKT): ______________
Setups You Trade: ________________________ Entry Triggers: _________________________
Stop Loss Rules (ATR/swing): ________________ Take Profit Rules (1:2 min):
________________ Risk Limits: Max 1% per trade; Max 3% per day. Pre-Trade Checklist:
HTF bias, zones, news, SL/TP set, position size calculated. Post-Trade Review:
Screenshot, R result, emotion, lesson learned.

Appendix C: Journal Columns (Copy into Excel)


Date/Time (PKT) | Pair | Setup Tag | TF | HTF Bias | Entry Price | SL | TP | Lot Size |
Risk% | R-result | Notes/Emotion | Screenshot

Disclaimer
Educational purposes only. Trading has risk. Paper trade until you show consistent positive
results. Not financial advice.

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