JSTAcademy
0 XP
Trading
12 modules
SMC, VIX indices, risk models & execution
On completion: You'll be able to read price action using Smart Money Concepts, manage risk with a professional framework, and trade VIX indices with a documented, testable edge.
M1Market Structure Fundamentals
How price moves and why every level means something
13m
Masters+150
M2Smart Money Concepts: How Institutions Move Markets
Understanding the institutional playbook retail traders never see
14m
PhD+170
M3Order Blocks: Entry Precision on Volatility Indices
Identifying where institutions left their footprint and why price returns
12m
PhD+170
M4Fair Value Gaps: Entering on Imbalance, Not Impulse
Trading the structural inefficiencies that price is engineered to return to
12m
PhD+170
M5Liquidity Sweeps: Trading the Manipulation Not the Move
Identifying, waiting for, and positioning after institutional liquidity grabs
14m
PhD+180
M6Risk Management: The Only Strategy That Keeps You in the Game
Position sizing, drawdown limits, and the mathematics of survival
13m
PhD+170
M7Session & Time Analysis: When Markets Actually Move
Using trading sessions and killzones to filter high-probability timing
12m
Masters+150
M8Multi-Timeframe Analysis: The Top-Down Approach
Reading the full picture before committing to any position
14m
PhD+170
M9VIX Indices Deep Dive: V75, V90, Volatility Mechanics
Understanding synthetic indices and how they differ from traditional markets
15m
PhD+180
M10The Psychology of Trading: Why You Lose When You Shouldn't
Cognitive biases, emotional triggers, and the mental edge that separates professionals
14m
PhD+180
M11Building a Trading System: Rules, Backtesting, Refinement
Creating a repeatable, verifiable edge from a collection of concepts
15m
PhD+190
M12Evaluating Your Edge: Journaling, Stats & Performance Review
Building the feedback loop that turns experience into expertise
14m
PhD+180