Translated by Google
Complete Forex Trading Training – Professional Technical Approach
From 480 € /h
This Forex Trading course aims to provide an in-depth understanding of the foreign exchange market and to develop a rigorous analytical methodology based on technical and fundamental principles.
The program covers:
• Introduction to the Forex market (structure, operation, participants)
• Reading and interpreting graphs (market structure, trends, accumulation/distribution phases)
• Advanced technical analysis (support and resistance levels, chart patterns, breakouts, retracements, technical indicators)
• Fundamental analysis (macroeconomic data, monetary policies, impact of central banks)
• Professional Risk Management and Money Management
• Development of a structured trading plan
• Practical case studies in real markets
Training aims :
✔ Master the basics and mechanisms of the Forex market
✔ Develop an independent technical and fundamental analysis capacity
✔ Apply disciplined and optimized capital management
✔ Build a consistent and measurable trading strategy
The training is aimed at beginners wishing to acquire a solid foundation as well as intermediate traders wishing to structure their approach professionally.
The program covers:
• Introduction to the Forex market (structure, operation, participants)
• Reading and interpreting graphs (market structure, trends, accumulation/distribution phases)
• Advanced technical analysis (support and resistance levels, chart patterns, breakouts, retracements, technical indicators)
• Fundamental analysis (macroeconomic data, monetary policies, impact of central banks)
• Professional Risk Management and Money Management
• Development of a structured trading plan
• Practical case studies in real markets
Training aims :
✔ Master the basics and mechanisms of the Forex market
✔ Develop an independent technical and fundamental analysis capacity
✔ Apply disciplined and optimized capital management
✔ Build a consistent and measurable trading strategy
The training is aimed at beginners wishing to acquire a solid foundation as well as intermediate traders wishing to structure their approach professionally.
Extra information
The training is based on an advanced technical approach:
• Professional use of the Ichimoku Kinko Hyo indicator to identify trends, equilibrium zones, and high-probability entry points.
• Identifying real support and resistance levels based on market structure and institutional areas.
• Analysis of range phases and authentic consolidation zones.
• The application of Elliott Wave principles to detect trend reversal patterns and market cycles.
Emphasis is placed on a structured reading of the market, based on the logic of flows and the real dynamics of prices, in order to develop a coherent and usable method in real conditions.
• Professional use of the Ichimoku Kinko Hyo indicator to identify trends, equilibrium zones, and high-probability entry points.
• Identifying real support and resistance levels based on market structure and institutional areas.
• Analysis of range phases and authentic consolidation zones.
• The application of Elliott Wave principles to detect trend reversal patterns and market cycles.
Emphasis is placed on a structured reading of the market, based on the logic of flows and the real dynamics of prices, in order to develop a coherent and usable method in real conditions.
Location
Online from Morocco
About Me
I am Youssef, a junior financier and experienced trader with over 5 years of expertise in Forex and indices trading, acquired at Lotus Capital and on my own account. Graduated in market finance and certified CFA Foundation, I combine advanced technical analysis and rigorous risk management to generate solid performances. Currently, I am developing my skills in Python programming to specialize in Data Analytics applied to market finance, while preparing a PhD project on price formation and volatility in financial markets.
Education
I hold a degree in Market Finance, complemented by a CFA Foundation certification, specializing in financial market analysis and asset management. Currently, I am developing Python programming skills for financial data analysis, strengthening my expertise in quantitative finance and automation of trading strategies.
Experience / Qualifications
With over 5 years of experience in Forex and indices trading, I have worked at Lotus Capital and on my own account, generating consistent performance through mastery of advanced technical analysis and rigorous risk management. Certified CFA Foundation, I am proficient in trading platforms such as MetaTrader and TradingView, while developing my skills in Python for financial data analysis and quantitative models.
Age
Children (7-12 years old)
Teenagers (13-17 years old)
Adults (18-64 years old)
Seniors (65+ years old)
Student level
Beginner
Intermediate
Advanced
Duration
45 minutes
The class is taught in
French
Arabic
English
Skills
Availability of a typical week
(GMT -05:00)
New York
Mon
Tue
Wed
Thu
Fri
Sat
Sun
00-04
04-08
08-12
12-16
16-20
20-24
🎓 Youssef – Private tutor in Market Finance & Economics
🧭 Route
Graduate of the National School of Commerce and Management of Casablanca (ENCG) – specializing in Market Finance.
Passionate about financial markets, macroeconomics and asset valuation, I have acquired solid academic and practical experience in portfolio management, financial analysis and econometrics applied to finance.
📚 Subjects taught
Financial market
Financial mathematics
Microeconomics and macroeconomics
Statistics and probability applied to finance
General economy
Financial management
Portfolio management
Econometrics
Derivatives (options, futures, swaps)
Technical and fundamental analysis
Portfolio theory and risk management
Capital markets and monetary policies
International finance and foreign exchange
Financial analysis and company valuation
Financial and analytical accounting
🧠 Methodology
My method is based on a progressive and practical approach:
Review of fundamental concepts before each new concept.
Practical exercises inspired by exams, real cases and the stock market.
Simplified explanation of financial and economic models.
Personalized support according to level and objectives (exams, competitions, finance professions, etc.).
Trading simulation and market analysis sessions for advanced students.
🧭 Route
Graduate of the National School of Commerce and Management of Casablanca (ENCG) – specializing in Market Finance.
Passionate about financial markets, macroeconomics and asset valuation, I have acquired solid academic and practical experience in portfolio management, financial analysis and econometrics applied to finance.
📚 Subjects taught
Financial market
Financial mathematics
Microeconomics and macroeconomics
Statistics and probability applied to finance
General economy
Financial management
Portfolio management
Econometrics
Derivatives (options, futures, swaps)
Technical and fundamental analysis
Portfolio theory and risk management
Capital markets and monetary policies
International finance and foreign exchange
Financial analysis and company valuation
Financial and analytical accounting
🧠 Methodology
My method is based on a progressive and practical approach:
Review of fundamental concepts before each new concept.
Practical exercises inspired by exams, real cases and the stock market.
Simplified explanation of financial and economic models.
Personalized support according to level and objectives (exams, competitions, finance professions, etc.).
Trading simulation and market analysis sessions for advanced students.
Welcome to this Masterclass in Market Finance!
You are about to dive into the exciting world of financial markets and discover the keys to successfully completing your Final Year Project (PFE) in this dynamic field.
This Masterclass is specifically designed for finance students who want to stand out by proposing a high-quality research project in the field of market finance. You will have the opportunity to master advanced concepts, understand current trends, and discover best practices in financial market analysis.
What you will learn:
The Fundamentals of Financial Markets: Understand the different types of markets (stocks, bonds, commodities, etc.) and the financial instruments used in these markets.
Advanced Data Analysis: Learn how to analyze financial data to identify opportunities and risks in the markets. Use modern tools and techniques to gain insights.
Portfolio Management Strategies: Discover best practices for building and managing an effective portfolio. Study strategies for diversification, asset allocation, and return optimization.
Financial Risk Management: Learn how to assess and manage risks associated with market fluctuations, as well as techniques for protecting your portfolio (hedging, options, etc.).
Designing a solid and innovative final year project: You will be guided through the practical steps of creating your final year project in market finance. We will cover research, data collection, analysis, and presentation of relevant results.
Why join this Masterclass?
Career in Market Finance: If you are considering a career in trading, portfolio management, financial analysis or other areas related to market finance, this Masterclass will provide you with the knowledge and skills you need to succeed.
Practical and theoretical learning: Combine theory and practice to obtain concrete results and skills directly applicable to your final year project.
Exclusive, high-quality content: Modern resources and powerful tools that will help you stand out among your peers.
Join us now and get a head start on your professional journey in market finance!
You are about to dive into the exciting world of financial markets and discover the keys to successfully completing your Final Year Project (PFE) in this dynamic field.
This Masterclass is specifically designed for finance students who want to stand out by proposing a high-quality research project in the field of market finance. You will have the opportunity to master advanced concepts, understand current trends, and discover best practices in financial market analysis.
What you will learn:
The Fundamentals of Financial Markets: Understand the different types of markets (stocks, bonds, commodities, etc.) and the financial instruments used in these markets.
Advanced Data Analysis: Learn how to analyze financial data to identify opportunities and risks in the markets. Use modern tools and techniques to gain insights.
Portfolio Management Strategies: Discover best practices for building and managing an effective portfolio. Study strategies for diversification, asset allocation, and return optimization.
Financial Risk Management: Learn how to assess and manage risks associated with market fluctuations, as well as techniques for protecting your portfolio (hedging, options, etc.).
Designing a solid and innovative final year project: You will be guided through the practical steps of creating your final year project in market finance. We will cover research, data collection, analysis, and presentation of relevant results.
Why join this Masterclass?
Career in Market Finance: If you are considering a career in trading, portfolio management, financial analysis or other areas related to market finance, this Masterclass will provide you with the knowledge and skills you need to succeed.
Practical and theoretical learning: Combine theory and practice to obtain concrete results and skills directly applicable to your final year project.
Exclusive, high-quality content: Modern resources and powerful tools that will help you stand out among your peers.
Join us now and get a head start on your professional journey in market finance!
Good-fit Instructor Guarantee