About the Course
What you’ll get:
Printed Copy of Course Materials
Unlimited Community Support
Probus Market Insights
1 yr Hands-on Support from Institutional Traders
Trading Kit (Journal, Pen, Mug)
Trading Tablet
What you’ll learn:
1. Deep Analysis
Professional Price Action concepts and Order Flow Analytics.
Learn Professional Price Action concepts that Financial Institutions use
Learn how Big Institutions use Liquidity as a tool
Real-time market activity tracking: This highlights the immediate nature of the data, focusing on the live transactions as they occur.
Analysis of supply and demand imbalances: This focuses on the goal of identifying when buyers or sellers are overpowering the other side.
Institutional activity tracking: This highlights the fact that order flow analysis helps reveal where large financial players are entering or exiting positions.
Study of buying and selling pressure: This emphasizes the core supply and demand dynamics that drive price movements.
Learn to Spot the Fair Value of an asset and the range where value resides.
Learn how Institutions use the Retail traders as “Pawn of the Market”
The Reality of Market Manipulation by the big Institutions.
2. Advanced Tools
Learn to use “Out-of-the-chart” Data and sophisticated chart indicators that Institutions use.
The importance of Open Interest
AMD (Accumulation, Manipulation, Distribution)
How to properly use Fair Value Gap
Long/Short ratio and how it affects the price
Funding Rate Dynamics
Estimated Leverage Ratio
Linear Regression Channel
VWAP
Volume Profile Visible Range
Liquidation Heatmap
Options Contract Expiry
Commitment of Traders report
Margin Debt & Short Interest
3. Strategy Development
Developing an Institutional Trading System that is bound to dominate every market participant using Complex Institutional Trading Tools.
Structuring a sophisticated trading system employing complex institutional strategies to consistently outperform market rivals.
Building an elite institutional trading framework utilizing cutting-edge tools to secure a commanding lead in market performance.
4. Risk Management
Institutional Visibility position sizing, leverage control, and calculating risk-reward ratio.
Learn the importance of Value at Risk (VAR)
Overview of Leverage
Position Sizing Mastery
5. Trading Psychology
Objective Trading and Institutional Mindset
Emotionless Decision-Making: Detaching from fear, greed, or excitement when executing trades.
Data-Driven Execution: Basing entry and exit points on analytical evidence and market structure, not intuition.
Learn how to think like a real Financial Institution
Unbiased Perception: Observing what the market is doing, not what one wants it to do, to avoid cognitive biases.

