सीखें : Trading ( Price Action )
Table of Contents
Quick Setup
Daily Routine
- Set TF : 15 Minute
- Find Trend : WT Cross with Crosses [Lazy Bear] (Indicator 1)
- Find Zone : Donchian Channel (Indicator 2) (50% = Basis Center Line)
Reversal Strategy
If Trend : UP ✅ Checks for Bullish Entry
- Zone : Discount ✅
- Entry : When High Break of Previous Bullish & Price Below Basis
- TP : Next High (with Trailing)
- SL : Lower Level
If Trend : Down ✅ Checks for Bearish Entry
- Zone : Premium ✅
- Entry : When Low Break of Previous Bearish & Price Above Basis
- TP : Next Low (with Trailing)
- SL : Upper Level
Continuous Strategy
If Trend : UP ✅ Checks for Bullish Entry
- Zone : Premium ✅
- Entry : When Price Breaks of Previous Bullish
- TP : Trailing
- SL : Lower of Entry Candle
If Trend : Down ✅ Checks for Bearish Entry
- Zone : Discount ✅
- Entry : When Price Breaks of Previous Bearish
- TP : Trailing
- SL : Upper of Entry Candle
Introduction
- Trading : Buying & Selling of Financial Assets.
- Financial Assets Types
- Currency & Forex Trading
- Crypto Currency
- Stocks / Share ( Nifty 50, Tata …)
- Commodities ( Gold/Silver/Crude Oil/ Steel)
Trading Myth Vs Reality
| Myth | Reality |
|---|---|
| Day trading is easy money | It requires discipline, strategy, and skill — it’s not a shortcut to wealth. Most traders lose money early on and success usually takes years of practice and learning. (Affordable Indicators – NinjaTrader |) |
| You need to trade every day to be a “real” trader | Traders should only trade when their system gives a clear opportunity. No trade today doesn’t mean failure — it means discipline. (ACY Securities) |
| More trades equals more profit | Quality beats quantity. Overtrading increases costs and risk; top traders often take very few, high-probability setups. (EBC Financial Group) |
| You have to watch charts all day long | Focused activity beats constant monitoring. Many traders target specific session windows rather than spending every minute staring at screens. (ACY Securities) |
| Day trading is just gambling | It’s not random — it’s a structured game of risk management, analysis, and planning. Trading without a strategy is gambling. (Affordable Indicators – NinjaTrader |) |
| You need huge capital to start | You can begin with smaller amounts. Capital size affects flexibility, but good money/risk management matters more. (EBC Financial Group) |
| You’ll make money trading right away | Most new traders lose initially. Real profitability requires practice, self-review, and continual learning. (digital.admtec.org.br) |
Indian Market Vs Forex Market
| Factor | Indian Market (Stocks / F&O) | Forex Market |
|---|---|---|
| Market Type | Centralized (NSE, BSE) | Decentralized (Global OTC market) |
| Trading Hours | Limited: 9:15 AM – 3:30 PM (IST) | 24 Hours (Mon–Fri) |
| Liquidity | High in index & top stocks only | Extremely high (most liquid market globally) |
| Volatility | Moderate (except news/events) | High, especially during sessions overlap |
| Leverage | Low to Moderate (regulated) | Very High (broker dependent) |
| Capital Requirement | Higher for delivery & F&O | Can start with smaller capital |
| Instruments | Stocks, Indices, Options, Futures | Currency Pairs (Major, Minor, Exotic) |
| Regulation | Highly regulated by SEBI | Varies by country & broker |
| Risk Level | Medium | High (due to leverage & volatility) |
| Gap Risk | High (overnight gaps common) | Very Low (continuous market) |
| News Impact | Domestic + Global news | Global economic data, interest rates |
| Scalping | Restricted / difficult | Very popular & allowed |
| Taxes (India) | STT, GST, Capital Gains | Treated as business income (depends) |
| Beginner Friendly | Yes (especially equity delivery) | Risky for beginners |
Forex Sessions & Volatility
| Time (IST) | Session | Volatility | Best Forex Pairs | Best Trading Style | Trade Quality |
|---|---|---|---|---|---|
| 5:30 AM – 6:00 AM | Asian Open | Low | USD/JPY, AUD/JPY | Observation | 🟥 Avoid |
| 6:00 AM – 9:00 AM | Asian | Low–Medium | USD/JPY, AUD/USD, NZD/JPY | Scalping, Range | 🟨 Medium |
| 9:00 AM – 11:00 AM | Asian | Medium | AUD/JPY, EUR/JPY | Intraday | 🟨 Medium |
| 11:00 AM – 1:30 PM | Asian Close | Low | — | Avoid / Light | 🟥 Avoid |
| 1:30 PM – 2:00 PM | London Open | Rising | EUR/USD, GBP/USD, EUR/GBP | Breakout Prep | 🟨 Watch |
| 2:00 PM – 5:00 PM | London | High | EUR/USD, GBP/USD | Intraday, Breakout | 🟩 Good |
| 5:00 PM – 6:30 PM | London Peak | Very High | GBP/JPY, EUR/JPY, EUR/USD, USD/CHF | Momentum | 🟩 Good |
| 6:30 PM – 7:00 PM | NY Open | Extreme | EUR/USD, XAUUSD, GBP/USD, USD/JPY, USD/CAD | Sniper Entries | 🟩 BEST |
| 7:00 PM – 9:30 PM | London + NY Overlap ⭐ | Extreme | EUR/USD, GBP/USD, XAUUSD | Intraday, Scalping | 🟩🔥 BEST |
| 9:30 PM – 10:30 PM | Overlap Close | High | GBP/JPY, USD/JPY | Continuation | 🟩 Good |
| 10:30 PM – 11:30 PM | New York | Medium | XAU/USD, USD/JPY, USD/CAD | Intraday | 🟨 Medium |
| 11:30 PM – 1:30 AM | NY Late | Low | Few USD pairs, USD/JPY, AUD/USD | Avoid / Swing | 🟥 Avoid |
| 1:30 AM – 3:30 AM | Market Sleep | Very Low | — | Avoid | 🟥 Avoid |
Funded Accounts & Brokers
How Prop Firms Work
- Evaluation/Challenge: You pay a fee to enter a challenge, trading a simulated account to meet profit targets and risk limits (like max daily/overall loss).
- Funding: After passing, you get a funded account (demo or live) with significant capital.
- Profit Sharing: You keep a large percentage of profits (e.g., 80-90%), with the firm taking the rest.
- Risk Management: You must follow the firm’s strict rules on drawdown and risk to protect their capital.
Key Benefits for Traders
- Access to Capital: Trade with much larger sums than you could personally, increasing profit potential.
- Low Personal Risk: You risk the firm’s money, not your own savings (beyond the initial challenge fee).
- Resources: Access to advanced tools, platforms, and sometimes mentorship/training.
Types of Prop Firms
- Retail/Virtual: Most common, using demo accounts for evaluation and funding, often for retail traders.
- Institutional: Traditional firms (banks/hedge funds) employing traders with large capital.
What They Trade
- Forex (currencies), Stocks, Commodities, Indices, and Cryptocurrencies.
एक फॉरेक्स ब्रोकर वह मध्यस्थ (intermediary) होता है जो आपको विदेशी मुद्रा बाजार (Forex Market) में मुद्राओं को खरीदने और बेचने के लिए एक प्लेटफॉर्म प्रदान करता है।
2025 में ट्रेडिंग शुरू करने के लिए यहाँ कुछ प्रमुख और विश्वसनीय फॉरेक्स ब्रोकर्स की जानकारी दी गई है:
सर्वश्रेष्ठ अंतरराष्ट्रीय फॉरेक्स ब्रोकर्स (Global Top Picks)
- Exness: कम स्प्रेड (spread) और तत्काल विद्ड्रॉल (instant withdrawal) के लिए प्रसिद्ध। यह शुरुआती और अनुभवी दोनों के लिए अच्छा है।
- XM Group: शानदार एजुकेशनल रिसोर्स और विभिन्न प्रकार के ट्रेडिंग बोनस के लिए जाना जाता है।
- OctaFX: कॉपी ट्रेडिंग (Copy Trading) के लिए लोकप्रिय और इसका इंटरफेस काफी यूजर-फ्रेंडली है।
- IC Markets: हाई-वॉल्यूम ट्रेडर्स और स्कैल्पर्स के लिए बेहतरीन, क्योंकि इनके स्प्रेड बहुत कम होते हैं।
ब्रोकर चुनते समय ध्यान रखने योग्य बातें:
- Regulation (विनियमन): हमेशा सुनिश्चित करें कि ब्रोकर FCA (UK), ASIC (Australia), या CySEC (Cyprus) जैसी प्रतिष्ठित संस्थाओं द्वारा विनियमित हो।
- Spreads and Fees: चेक करें कि प्रति ट्रेड ब्रोकर कितना कमीशन या स्प्रेड ले रहा है।
- Leverage: अधिक लेवरेज लाभ और जोखिम दोनों बढ़ा देता है, इसलिए इसे सावधानी से चुनें।
- Customer Support: क्या वे आपकी भाषा में और 24/5 सहायता प्रदान करते हैं?
- Demo Account: असली पैसा लगाने से पहले Demo Account पर प्रैक्टिस जरूर करें।
भारत में फॉरेक्स ट्रेडिंग की स्थिति (Legal Status in India)
- भारत में RBI के नियमों के अनुसार, आप केवल उन्हीं करेंसी पेयर्स में ट्रेड कर सकते हैं जिनमें भारतीय रुपया (INR) शामिल हो (जैसे USDINR, EURINR, GBPINR, JPYINR) और यह केवल SEBI द्वारा अधिकृत एक्सचेंजों (जैसे NSE, BSE, MCX-SX) पर ही होना चाहिए। अंतरराष्ट्रीय ब्रोकर्स के साथ ट्रेडिंग करना भारत में कानूनी रूप से एक ‘ग्रे एरिया’ में आता है और फेमा (FEMA) अधिनियम के तहत जोखिम भरा हो सकता है।
The Afinity & The Perfect Planet
| Feature / Benefit | Course 1₹4,999 | Course 2₹10,999 | Course 3 (Elite Vault)₹16,500 |
|---|---|---|---|
| Live Trading Account | ₹1,00,000 | ₹2,00,000 | ₹4,00,000 |
| Trading Level | Basic → Advanced | Basic → Advanced | Basic → Advanced (Full Mastery) |
| Markets Covered | Forex, Indices, Commodities, Crypto | Forex, Indices, Commodities, Crypto | Forex, Indices, Commodities, Crypto |
| SMC (Smart Money Concepts) | ❌ | ✅ | ✅ (Advanced) |
| Exclusive / Deceive Strategies | ✅ | ❌ | ✅ (Pro-Level) |
| Proven Profitable Strategy | ❌ | ✅ | ✅ (Battle-tested) |
| Risk & Money Management | Basic | Advanced | Professional Level |
| Advanced Trading Strategies | ❌ | ✅ | ✅ (Elite Level) |
| Daily Market Analysis | ✅ | ✅ | ✅ (Premium Setups) |
| Trading Tools (TradingView Pro+) | ❌ | ❌ | ✅ |
| Trading Books (eBooks) | ❌ | ❌ | ✅ |
| Community Access | Traders’ Community | Private Traders’ Community | Elite Private Community |
| Private Mentorship (1-to-1) | ❌ | ❌ | ✅ |
| Direct Access to Team | ❌ | ❌ | ✅ |
| Referral Income Benefits | ❌ | ❌ | ✅ (Extra Income + Bonuses) |
| Leads Generation Support | ❌ | ❌ | ✅ |
| Certificate of Completion | ✅ | ✅ | ✅ (Elite Program) |
| Best For | Beginners | Revealed Traders | Serious / Professional Traders |
MT5 & Journal
Create 2 Demo Accounts in MT5
- Affinity Prime Account : Telegram Suggested Trades Only
- Demo Trading Account : Self Trade Only
Create Journal
Candlestick Patterns
Chart Patterns
Support & Resistance
Support:
- A price level where a downtrend is expected to pause or reverse due to increased buying interest (demand).
- Psychology: More buyers than sellers; traders see it as a good place to buy, expecting the price to bounce up.
Resistance
- A price level where an uptrend is expected to pause or reverse due to increased selling pressure (supply).
- Psychology: More sellers than buyers; traders see it as a good place to sell, expecting the price to fall back.
Weak & Strong (Support / Resistance)
Strong Support & Resistance
- Tested Often: Touched by price multiple times with strong reactions (bounces/reversals).
- Major Reversals: Marks significant trend changes or high-volume consolidation areas.
- Psychology: Reflects deep-seated beliefs about value (e.g., ₹800 is a great buy price).
- Confirmation: Often found at historical highs/lows, longer-term trendlines, or large candlestick patterns (like daily engulfing bars).
Weak Support & Resistance
- Infrequent Testing: Not tested many times.
- Easy Breakouts: Price moves through them with less effort.
- Temporary: Form during consolidation or minor price swings.
- News-Driven: Can be invalidated by unexpected news or reports.
Impulsive & Corrective Move
- Impulsive Move : More than 65 Degree, By : Institutional traders
- Corrective Move : Less than 65 Degree, By : Retail traders
Simple Trading Strategies
10.1 Breakout Strategy / Sideways Strategy
- Use Indicators
- Range Detector [LuxAlgo]
- Minimum Range Length = 25
- Range Width = 1.1
- ATR Length = 300
- Volume
- Range Detector [LuxAlgo]
10.2 Trendline Strategy
- Use Indicators
- Trendline with Breaks [LuxAlgo]
- Volume or Candlestick
- Use Stochastic Indicator to Confirm
- Try to enter trade in Continuous Trend
10.3 Pull Back SMC Strategy
Valid Pullback
- In Bullish Trend : Break Previous Low By Bearish Candle ( Opposite Break )
- In Bearish Trend : Break Previous High By Bullish Candle ( Opposite Break )
Types
- Aggressive Pullback : Avoid Entry
- Corrective Pullback (SMS ) : SMC Entry
- Sweeping Pullback : Equal High / Low, Trendline
Fibonacci OTE
Steps
- SEE PRIYANK SHARMA – SMC
- Analyze MT Frame
- Mark PDC & DO
- Mark Fib & 50%
- Try 4 Entry Setup
- Watch for BMS/ SMS/ Break Out
- Watch Clear Carefully for Closing Candle in BMS
Order Flow Strategy
ORDER FLOW
Price & Volume
Relative Strength of Volume Indicators by DGT
Price Volume Divergence
Volume as Support & Resistance
- Mark Support / Resistance & Watch for Breakout / Fake Out
- Plan Buy : If Volume of Buyer is High / Volume of Seller is Low
- Plan Sell : If Volume of Buyer is Low / Volume of Seller is High
ATR : Average True Range
Know Average Variation of
- GOLD : 300 to 400 pips
- EUR : 40 to 50 pips
Avoid if Fluctuation Achieved.
Pressure Theory
Pressure & Momentum
- Definition
- Pressure : Price Faces Struggle
- Momentum : Price Do not Faces Struggle
- Pressure Types
- Candle Pressure : Long Wicks of Candle
- Case High Pressure
- Plan Buy : If Long Lower Wick
- Plan Sell : If Long Upper Wick
- Case High Momentum
- Ignore Trade
- Case High Pressure
- Zone Pressure : Struggle at Support & Resistance
- Mark Intermediate Support & Resistance
- Case High Pressure
- Plan Buy : If Long Lower Wick
- Plan Sell : If Long Upper Wick
- Case High Momentum
- Ignore Trade
- Trend Pressure
- Plan Reversal : if Price Struggle at Uptrend / Downtrend
- Plan Continuation : If Price Do not Struggle
- Candle Pressure : Long Wicks of Candle
Closing Type
- Candle Closing : Wait for Candle Closing
- Closing Minutes : Do not Trade on candle closing
Risk & Reward Management
Trading Strategy
Strategy 1 : Gold Scalping
Working
- GOLD Pair
- 1m min
- watch : 3 Green Candles
Procedure
- Watch for First 3 green candles after a reversal
- Mark High Level & Low Level including Wicks
- Watch for Next candles to break Levels
- Entry After Close
- SL : Lower Green Candle
- TP : Min 1:1
Strategy 2 : Wick Strategy
Working
- All Pairs
- Timeframe
| Style | Analysis | Entry Setup |
|---|---|---|
| Swing | 4h | 15m |
| Intraday | 1h | 5m |
| Scalping | 15m | 3m |
Step 1 : Set time frame = 1h
- Identify candles only for long wicks
- Mark 50% of only of the Wick
Step 2 : Change time frame = 5m
- If Price disrespects 50% level (touch or break 50% level) : DO NOT TRADE
- If Price respects 50% level (do not touch 50% level)
- Wait for BOS or CHOCH
- Entry After Candle Closing
- SL : Previous Low / Long Wick
- TP : 1:1
Strategy 3 : RSI Divergence
- Wait for Candlestick
- Wait for BOS
- Wait for CHOCH
- Entry After Closing Candle
Strategy 4 : 20 EMA + 14 RSI
Identify Current Trend
If Bullish Trend
- Step 2 : Current Price, 20 EMA के ऊपर हो
- Step 3 : RSI 50-60 के बीच हो
If Bearish Trend
- Step 2 : Current Price, 20 EMA के नीचे हो
- Step 3 : RSI 40-50 के बीच हो
Closing के बाद Trend के अनुसार Entry लो ।
The Tournament Rules
✅ GOAL & LIMITS (First fix these in mind)
| Rule | Value |
|---|---|
| Max Daily Loss | 4% = $400 |
| Max Total Drawdown | 8% = $800 |
| Risk per Trade (Recommended) | 0.5% = $50 |
| Risk per Trade ($) | 0.5% = $50 |
| Daily Self-Imposed Risk Cap | 1% = $100 |
🧠 CORE STRATEGY (Consistency-First)
- Trading Style (Very Important)
- Intraday / Light Swing
- Hold time: 15 minutes – 4 hours
- NO scalping + NO multi-day swings
- Same style every day
- Instruments (Pick ONLY 2–3) Recommended:
- EURUSD
- GBPUSD or NASDAQ
- XAUUSD (allowed now, but keep same risk)
- ❌ Don’t rotate many symbols
- 📊 LOT SIZE PLAN (CRITICAL)
| Instrument | Avg Movement | SL | Lot Size | Risk |
|---|---|---|---|---|
| EURUSD | 70–100 pips/day | 25 pips | 0.2 lots | $50 |
| GBPUSD | 80–120 pips/day | 30 pips | 0.017 lots | ~$50 |
| NASDAQ | — | 80 points | $6.25/point | $500 |
| XAUUSD | 60–90 points/day | 200 points | 0.03 lot | $50 |
✔ Same lot size entire challenge
✔ Variation only 0.3 lots max
❌ No sudden jumps
🎯 PROFIT TARGET STRUCTURE
- You do NOT need big wins
- Target R:R = 1:1.5 to 1:2
- Risk = $50
- Reward = $75-$100 per trade
| Week | Phase | Weekly Goal | Trading Frequency | Rules | Focus |
|---|---|---|---|---|---|
| Week 1 | Safety | +1% ($100) | 1 trade/day, 3 days | Stop after 1 win or loss | Execution |
| Week 2 | Stability | +1.5% ($150) | 3–4 trades/week | Same lot, same SL | Discipline |
| Week 3 | Build | +2% ($200) | Max 1 trade/day | +1.5R / −1R | Equity control |
| Week 4 | Lock | +2.5% ($250) | 2–3 days only | Protect profits | Finish clean |
📅 60-DAY EXECUTION PLAN
✅ TOTAL = 7% = $700
🛑 DAILY RULES (NON-NEGOTIABLE)
- ✅ Max 1-2 trades/day
- ✅ Max 0.5% risk/trade
- ✅ Max 1% daily loss
- ✅ One instrument at a time
- ✅ Always SL + TP
- ❌ No revenge trade
- ❌ No lot increase after win/loss
📈 PASSING SCENARIOS Example (REALISTIC)
- 10 wins × $75 = $750
- 5 losses × $50 = −$250
- Net = +$500
- Add a few 1:2R wins → $700+ achieved
- ✔ Required win rate ≈ 55%
🧾 WHAT RISK TEAM WANTS TO SEE
- ✔ Smooth equity curve
- ✔ Same lot size
- ✔ Even trade distribution
- ✔ No gambling spikes
- ✔ Same holding time
- ✔ Discipline after drawdown
❌ WHAT WILL FAIL YOU (EVEN IF PROFITABLE)
- Jumping from 0.02 → 0.10 lots
- One big trade making 40% of total profit
- 10 trades in 1 day, then no trades for a week
- Mixing 1-minute scalps + 2-day holds
- News candle entries
🏁 FINAL ADVICE (IMPORTANT)
- $10000 + 30 days = a CONSISTENCY TEST, not a skill test.
- Follow this → very high pass probability (85–90%)
✅ GOAL & LIMITS (First fix these in mind)
| Rule | Value |
|---|---|
| Max Daily Loss | 4% = $8,000 |
| Max Total Drawdown | 8% = $16,000 |
| Risk per Trade (Recommended) | 0.5% |
| Risk per Trade ($) | $1,000 |
| Daily Self-Imposed Risk Cap | 1% = $2,000 |
🧠 CORE STRATEGY (Consistency-First)
- Trading Style (Very Important)
- Intraday / Light Swing
- Hold time: 15 minutes – 4 hours
- NO scalping + NO multi-day swings
- Same style every day
- Instruments (Pick ONLY 2–3) Recommended:
- EURUSD
- GBPUSD or NASDAQ
- XAUUSD (allowed now, but keep same risk)
- ❌ Don’t rotate many symbols
- 📊 LOT SIZE PLAN (CRITICAL)
| Instrument | Avg Movement | SL | Lot Size | Risk |
|---|---|---|---|---|
| EURUSD | 70–100 pips/day | 25 pips | 0.40 lots | $1,000 |
| GBPUSD | 80–120 pips/day | 30 pips | 0.33 lots | ~$990 |
| NASDAQ | — | 80 points | $12.5/point | $1,000 |
| XAUUSD | 60–90 points/day | 200 points | 0.50 lot | $1,000 |
✔ Same lot size entire challenge
✔ Variation only 0.3–0.5 lots max
❌ No sudden jumps
🎯 PROFIT TARGET STRUCTURE
- You do NOT need big wins
- Target R:R = 1:1.5 to 1:2
- Risk = $1,000
- Reward = $1,500–$2,000
📅 60-DAY EXECUTION PLAN
| Week | Phase | Weekly Goal | Trading Frequency | Rules | Focus |
|---|---|---|---|---|---|
| Week 1 | Safety | +0.75% ($1,500) | 1 trade/day, 3–4 days | Stop after 1 win or 1 loss | Execution quality |
| Week 2 | Stability | +0.75% ($1,500) | 3–4 trades/week | Same lot, same style | Discipline |
| Week 3 | Build | +1% ($2,000) | Max 1 trade/day | +1.5R stop / −1R stop | Equity control |
| Week 4 | Build | +1% ($2,000) | 3–4 days only | No risk increase | Consistency |
| Week 5 | Push | +1% ($2,000) | Trade A+ setups | Protect DD | Patience |
| Week 6 | Push | +1% ($2,000) | Fewer trades | No over-trading | Calm execution |
| Week 7 | Lock | +0.75% ($1,500) | 2–3 days only | If −1%, pause 48 hrs | Capital safety |
| Week 8 | Lock | +0.75% ($1,500) | Minimum days | Small wins ok | Finish clean |
✅ TOTAL = 7% = $14,000
🛑 DAILY RULES (NON-NEGOTIABLE)
- ✅ Max 1-2 trades/day
- ✅ Max 0.5% risk/trade
- ✅ Max 2% daily loss
- ✅ One instrument at a time
- ✅ Always SL + TP
- ❌ No revenge trade
- ❌ No lot increase after win/loss
📈 PASSING SCENARIOS Example (REALISTIC)
- 14 wins × $1,500 = $21,000
- 7 losses × $1,000 = −$7,000
- ➡ Net = +$14,000 (PASS)
- Win rate needed: ~55%
🧾 WHAT RISK TEAM WANTS TO SEE
- ✔ Smooth equity curve
- ✔ Same lot size
- ✔ Even trade distribution
- ✔ No gambling spikes
- ✔ Same holding time
- ✔ Discipline after drawdown
❌ WHAT WILL FAIL YOU (EVEN IF PROFITABLE)
- Jumping from 0.4 → 1.5 lots
- One big trade making 30–40% of profit
- 10 trades in 1 day, then no trades for a week
- Mixing 1-minute scalps + 2-day holds
- News candle entries
🏁 FINAL ADVICE (IMPORTANT)
- $200,000 + 60 days = a CONSISTENCY TEST, not a skill test.
- Follow this → very high pass probability (85–90%)