📍 Biggest Takeaways from Course B
You now understand how to properly read candlestick charts instead of just staring at them.
You learned how to identify real institutional trading zones like order blocks, liquidity grabs, and fair value gaps—not just random support & resistance lines.
You know how market manipulation works, so you don’t get played by stop hunts and fake breakouts.
You’ve got a risk management plan to protect your capital—because if you blow your account, you’re out of the game.
📍 How to Apply Everything Before Moving to Course C
Start analyzing charts daily—mark up order blocks, FVGs, and liquidity zones to sharpen your skills.
Test your knowledge in a demo account before jumping in with real money.
Develop a trading plan based on what you’ve learned so far—NO RANDOM TRADING.
📍 What’s Coming Next in Course C
🚀 Smart Money Trading & Advanced Entries – You’re going to learn exactly how institutions enter and exit trades.
🎯 Refining Entries – Stacking confirmations for sniper-level precision.
🔍 Mastering Market Structure – Seeing where price is really going before it happens.
💰 High-Risk, High-Reward Trading – Knowing when to take bigger trades with confidence.
🔑 Key Takeaway
You’ve got the foundation—now it’s time to level up. If you take what you’ve learned in Course B and apply it properly, Course C is going to make you dangerous in the markets. But if you’re still out here trading randomly with no plan, you’re just another deposit for your broker. The choice is yours.