Education with clear risk boundaries
This course covers market structure, chart interpretation, trading plans, position sizing and review practices. It does not provide personalised recommendations or guaranteed returns, and market participation can lead to financial loss.
Practice framework
- Order types and market mechanics
- Trend, range and price structure
- Entry, exit and invalidation planning
- Position sizing and maximum risk
- Paper trading and chart replay
- Journal and performance review
Learning sequence
- Understand the instrument, order and cost.
- Write objective entry, invalidation and exit conditions.
- Calculate position size from a predefined amount at risk.
- Practise with historical charts or paper trades.
- Review multiple examples instead of judging one outcome.
Evidence of practice
A useful exercise records the chart context, written conditions, planned risk, possible outcomes, execution notes and post-trade review.
Questions before joining
Will this course tell me which shares to buy?
No. It teaches market process and risk management, not personalised investment recommendations or guaranteed calls.
Can paper-trading results predict real returns?
No. Live markets add execution, emotion, liquidity, costs and loss risk.
What should I confirm before visiting Laxmi Nagar?
Confirm the educator, syllabus, classroom date, time, fee, practice method and demo availability.