Curriculum
10 Sections
54 Lessons
10 Weeks
Expand all sections
Collapse all sections
Identify Reason – Why You Are in Loss
5
1.1
Strategy Cross-Check
1.2
Capital Allotment Error
1.3
Psychology and Discipline Errors
1.4
Quantity Management Issues
1.5
Risk-to-Reward Misjudgment
Roadmap for Loss Recovery According to You
6
2.1
Capital Diversification
2.2
Strategy Diversion – Avoid Repetition of Mistakes
2.3
Art of Professional Trading
2.4
Building a Consistent Profit Approach
2.5
Setting Realistic Recovery Goals
2.6
Personal Risk Mapping
Psychology and Discipline Management
6
3.1
Overcoming Greed After Huge Profits
3.2
Accepting and Learning from Loss
3.3
Breaking the Revenge Cycle
3.4
Rebuilding Confidence
3.5
Mindset Shifting for Long-Term Growth
3.6
Controlled and Planned Execution Discipline
Strategy Selection by Market Condition
5
4.1
Bullish Market Recovery Strategies
4.2
Sideways/Neutral Market (Iron Fly, Condors, Diagonals)
4.3
Bearish Market Structured Setups
4.4
Extreme Volatile Markets (Events, Breakouts, Elections, War)
4.5
IV & Sentiment-Based Position Structuring
Recovery Execution Practice
6
5.1
Start Thinking in Terms of Consistent Profit
5.2
Identify Market Phases & Adjust Accordingly
5.3
Follow the Recovery Framework
5.4
Balance Capital, Psychology, Strategy & Expectation
5.5
Go Like a Tortoise – Slow and Strategic Recovery
5.6
Patience and Process Over Performance
Portion Sizing & Capital Management
6
6.1
Right Entry-Exit with Optimal Portion
6.2
Multi-Leg Position Planning
6.3
Risk Diversification Between Trades
6.4
Scaling vs Averaging: What, When, and Why
6.5
Recovery Ratio Tracking System
6.6
Account Split Structure (Core, Risk, and Buffer Capital)
Technical Triggers for Recovery
5
7.1
High-Accuracy Price Patterns
7.2
Volatility Range Mapping
7.3
Indicator-Based Support (Volume, RSI, VIX, etc.)
7.4
Smart Money Concepts for Safer Entry
7.5
Technical Confirmation for Hedged Trades
Big Event-Based Recovery Planning
5
8.1
Budget Day & Earnings Setups
8.2
Overnight Gap Risk Planning
8.3
Pre/Post Event IV Crush Strategy
8.4
Political/Global News Trading Filters
8.5
Recovery Tactics During High-Uncertainty Phases
Simulation & Live Market Practice
6
9.1
Back testing Recovery Trades (2021–Present)
9.2
Live Market Trade Planning + Problem Handling
9.3
Simulator-Based Practice with Entry/Exit Justification
9.4
Weekly Practice, Tracking, and Review System
9.5
Smart Money Concept + ICT Integration
9.6
Goal Achievement Milestone System
Recovery Exit Blueprint
4
10.1
When to Exit the Recovery Phase
10.2
Switching from Recovery Mode to Growth Mode
10.3
Capital Realignment Post-Recovery
10.4
Mindset Closure: Stop Looking at Old Losses
Loss Recovery Training Course
Off
On
Search
Curriculum
This content is protected, please
login
and enroll in the course to view this content!
Modal title
Main Content