Master Global Trading Sessions Through Practical Experience
Financial markets never sleep. And neither should your understanding of them. Our eight-month intensive program walks you through live market analysis across Asian, European, and American sessions so you actually see how different time zones create unique trading opportunities.
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Three Markets, Three Mindsets
Each trading session has its own rhythm and characteristics. We teach you to recognize patterns that emerge when Tokyo opens, how London moves midday, and what happens when New York takes over.
Asian Session Focus
Currency pairs like AUD and JPY show different behavior during Asian hours. You'll study liquidity patterns when Tokyo and Singapore markets are most active, learning when volatility drops and how range-bound strategies work better.
23:00 - 08:00 GMTEuropean Session Analysis
London brings volume. The overlap between European and Asian sessions creates movement worth watching. We analyze how economic announcements from Frankfurt and London affect EUR and GBP pairs during these hours.
07:00 - 16:00 GMTAmerican Session Tactics
New York session overlaps with European afternoon trading, creating the highest daily volume. You'll learn to navigate USD movements and understand how U.S. data releases shift market sentiment in real time.
12:00 - 21:00 GMT
Real Charts, Real Context, Real Learning
Most programs show you theories. We prefer showing you what happened yesterday and asking why. Every week you'll review actual market scenarios from different sessions, identifying what worked and what signals got ignored.
Starting October 2025, our cohort meets twice weekly for live market review sessions. Between meetings, you have access to recorded analysis from previous trading days across all three major sessions.
What Eight Months Covers
The program builds progressively. You start with session basics and move toward independent analysis by spring 2026.
Foundation Phase
Market structure fundamentals, understanding session transitions, basic chart reading, and liquidity concepts. You'll learn why certain pairs move more during specific hours and how to identify high-probability setups.
Technical Analysis Deep Dive
Support and resistance levels, trend identification, momentum indicators, and volume analysis. We focus on tools that actually matter during each session rather than overloading you with every indicator that exists.
Session-Specific Strategies
Breakout techniques for volatile London opens, range strategies for quieter Asian sessions, and momentum approaches for New York afternoons. Each session demands different thinking.
Risk Management Frameworks
Position sizing based on volatility, stop-loss placement that respects session characteristics, and managing trades across session transitions. This section separates casual learners from serious practitioners.
Independent Analysis Project
Final months focus on your own market reviews. You'll present weekly analyses to the group, receive feedback, and refine your approach based on what you're actually seeing in the charts.
Silvia Krumova
Lead Trading EducatorSilvia spent twelve years analyzing currency markets across multiple time zones before shifting to education. She traded through both calm periods and the 2020 volatility spike, which taught her that textbook strategies often need real-world adjustments.
Her teaching style focuses on showing students how to think through market scenarios rather than memorizing patterns. She believes the best education happens when you understand why something works, not just that it worked once.
Next Cohort Begins October 2025
We keep groups small because individualized feedback matters. Each cohort has space for eighteen participants who are serious about understanding market dynamics across different trading sessions.
The program runs eight months with twice-weekly sessions and independent study time. You'll need about ten hours weekly for live sessions, chart reviews, and practice analysis.
Program Start: October 13, 2025 Request Information