Practical guides for macro reading, EURUSD preparation, session review, and portfolio discipline.
How to judge a free trading newsletter before you subscribe: the transparency tests that separate genuine market analysis from disguised signal-selling.
Why gold and the dollar usually move opposite each other, when that relationship breaks down, and why real yields matter more than DXY alone.
Build a trading journal that actually improves your trading: what to log per trade, how to grade decisions vs outcomes, and how to turn notes into rules.
A step-by-step guide to preparing for a EURUSD trading session using macro context, sentiment analysis, key levels, and technical structure.
What a liquidity sweep actually is, why the "stop hunt reversal" narrative is mostly wrong, and what 4,986 EURUSD sweeps say about trading them.
How to prepare EURUSD for US Non-Farm Payrolls: the blackout window, why not to fade the first spike, and the confirmation that turns a loss into a winner.
A repeatable framework for preparing a forex trading session: classify the regime, map levels, and write a counter-thesis so you don't trade one-sided.
Revenge trading explained: why a loss triggers the next bad trade, the mechanism behind it, and the concrete rules that actually stop the cycle.
What a fair value gap actually is, why it forms, how traders use it as an entry zone, and what the data says about trading a gap in isolation.
The key macro forces that drive EUR/USD: Fed vs ECB divergence, DXY, risk sentiment, and high-impact data. A practical framework for retail traders.