ClearView · Learn
65-Day Academy: 65 days
Curriculum
- M1 · FoundationsDays 1–6 · 40 lessons
- M2 · Reading ChartsDays 7–14 · 25 lessons
- M3 · FundamentalsDays 15–21 · 20 lessons
- M4 · Technical AnalysisDays 22–28 · 16 lessons
- M5 · Risk & Position SizingDays 29–33 · 10 lessons
- M6 · Psychology & BiasesDays 34–38 · 10 lessons
- M7 · Macro & ContextDays 39–43 · 9 lessons
- M8 · Building a PortfolioDays 44–48 · 8 lessons
- M9 · Options: FoundationsDays 49–53 · 10 lessons
- M10 · Options: Strategies & the WheelDays 54–58 · 8 lessons
- M11 · Method & BacktestingDays 59–62 · 6 lessons
- M12 · CapstoneDays 63–65 · 6 lessons
M1 · Foundations — days 1–6
- Day 1 — What a Share Actually Is3 min read
- Day 1 — Price vs Value — the Gap That Pays You3 min read
- Day 1 — Shares Outstanding — Your Slice of the Pie2 min read
- Day 1 — Why Charts Exist at All2 min read
- Day 2 — Market Cap — the Price of the Whole Business3 min read
- Day 2 — Float — the Shares Actually Trading2 min read
- Day 2 — How Indexes Are Built (and Why It Changes What You Own)3 min read
- Day 2 — Candle Anatomy — Reading One Bar3 min read
- Day 3 — Market, Limit, Stop, Stop-Limit4 min read
- Day 3 — The Bid-Ask Spread — the Toll You Pay3 min read
- Day 3 — Liquidity — Why It Is Life and Death3 min read
- Day 3 — Reading the Wick — Where the Fight Was Lost2 min read
- Day 4 — The Cast — Who Actually Moves Prices3 min read
- Day 4 — Market Hours, Gaps & Circuit Breakers3 min read
- Day 4 — Defining a Trend — Higher Highs, Higher Lows3 min read
- Day 5 — Cash Account vs Margin Account3 min read
- Day 5 — Short Selling — Betting Against3 min read
- Day 5 — Line Chart vs Candlestick — When to Use Which2 min read
- Day 6 — Trading Desk — Putting Week One Together4 min read
- Day 6 — Chart Review — the Week in One Chart3 min read
- Day 54 — The Covered Call — Renting Out Upside3 min read
- Day 54 — The Cash-Secured Put — Getting Paid to Set a Limit Order3 min read
- Day 55 — The Wheel — the Full Cycle4 min read
- Day 55 — The Wheel's Real Risks — What the Income Hides3 min read
- Day 56 — Vertical Spreads — Buying and Selling the Same Clock3 min read
- Day 56 — Strategy Selection — Matching Structure to View2 min read
- Day 57 — "Income" Strategies — the Yield Illusion Check3 min read
- Day 58 — M10 Checkpoint — Design a Wheel Position4 min read
- Day 59 — The Trading Plan — Written Before the Money Moves3 min read
- Day 59 — Plan Fidelity — the Metric That Predicts Everything2 min read
- Day 60 — The Three Backtest Killers3 min read
- Day 60 — Paper Trading & the Forward Test2 min read
- Day 61 — The Metrics That Matter — Return, Risk, Risk-Adjusted3 min read
- Day 62 — The Post-Mortem — Every Exit Gets an Autopsy3 min read
- Day 63 — Gauntlet Briefing — Ten Decisions, One Portfolio3 min read
- Day 63 — Gauntlet 2/10 — the macro shock3 min read
- Day 64 — Gauntlet 3/10 — the setup finally triggers3 min read
- Day 64 — Gauntlet 4/10 — the position goes wrong3 min read
- Day 65 — The Skills Bilan — What You Can Now Do4 min read
- Day 65 — Graduation — the Cross-Module Quiz3 min read
M2 · Reading Charts — days 7–14
- Day 7 — Doji — the Standoff3 min read
- Day 7 — Hammer & Shooting Star — Rejection Extremes3 min read
- Day 7 — Marubozu — Total Conviction2 min read
- Day 7 — Heikin-Ashi — the Smoothed Lie (and When to Use It)3 min read
- Day 8 — Bullish & Bearish Engulfing3 min read
- Day 8 — Morning & Evening Star3 min read
- Day 8 — Three White Soldiers / Three Black Crows2 min read
- Day 8 — Patterns on Raw vs Smoothed Charts2 min read
- Day 9 — One Stock, Many Trends3 min read
- Day 9 — Noise Scales With Granularity2 min read
- Day 9 — Renko & Point & Figure — Timeless Charts3 min read
- Day 10 — Volume Confirms or Denies Price3 min read
- Day 10 — Climax & Dry-Up — the Extremes3 min read
- Day 10 — VWAP — the Institutional Line in the Sand2 min read
- Day 11 — Zones, Not Lines3 min read
- Day 11 — Breakouts, Fakeouts & the Retest3 min read
- Day 11 — Trendlines — Drawn Honestly2 min read
- Day 12 — Flags & Pennants — the Pause That Refreshes3 min read
- Day 12 — Head & Shoulders — the Classic Top3 min read
- Day 12 — Double Top / Double Bottom2 min read
- Day 13 — Every Indicator Is Derived From Price3 min read
- Day 13 — Divergence — Momentum Fading First3 min read
- Day 13 — Moving Averages as Structure2 min read
- Day 14 — The Full Chart Read — Structure, Volume, Level4 min read
- Day 14 — Choosing the Right Chart Type — Final Drill3 min read
M3 · Fundamentals — days 15–21
- Day 15 — EPS — What It Measures and How It Lies3 min read
- Day 15 — GAAP vs Adjusted — Reading the Fine Print3 min read
- Day 15 — The Earnings Yield — P/E's Honest Twin2 min read
- Day 16 — P/E — the Price of a Dollar of Profit3 min read
- Day 16 — PEG, Shiller CAPE & the Cyclically-Adjusted View3 min read
- Day 16 — The P/E Matrix — Growth × Quality × Risk2 min read
- Day 17 — Revenue Growth — the Top-Line Truth3 min read
- Day 17 — Margins — the Quality Signature3 min read
- Day 17 — ROIC — the Compounding Quality Gate2 min read
- Day 18 — Debt — the Amplifier3 min read
- Day 18 — Free Cash Flow — the Only Money That Counts3 min read
- Day 18 — Reading the Accrual Warning Signs2 min read
- Day 19 — Dividends — Cash in Hand, With Traps3 min read
- Day 19 — Buybacks — Value Creation or Value Transfer?3 min read
- Day 19 — Total Return — the Only Scoreboard2 min read
- Day 20 — DCF Thinking Without the Spreadsheet3 min read
- Day 20 — The Multiple Toolbox — Which One Where3 min read
- Day 20 — Margin of Safety — the Only Risk Control That Is Also Upside2 min read
- Day 21 — Trading Desk — the Full Fundamental Read4 min read
- Day 21 — Fundamentals Cross-Check3 min read
M4 · Technical Analysis — days 22–28
- Day 22 — SMA vs EMA — the Actual Math3 min read
- Day 22 — Golden Cross & Death Cross — Base Rates3 min read
- Day 22 — MA Ribbons & the Stacked Stack2 min read
- Day 23 — What RSI Actually Computes3 min read
- Day 23 — RSI Divergence — the Early Warning System3 min read
- Day 23 — RSI Range Shifts — Brown's Framework2 min read
- Day 24 — MACD Pieces — Lines, Signal, Histogram3 min read
- Day 24 — MACD Divergence & Zero-Line Reclaims2 min read
- Day 25 — What the Bands Measure3 min read
- Day 25 — The Squeeze — Volatility Begets Volatility3 min read
- Day 26 — The Volume-Price Matrix3 min read
- Day 26 — OBV & Volume Confirmation Tools2 min read
- Day 27 — Fakeouts, Whipsaws & Stop Runs3 min read
- Day 27 — Overfitting Indicators — the Backtest Mirage2 min read
- Day 28 — Confluence — When Independent Lenses Agree3 min read
- Day 28 — M4 Checkpoint — the Full Technical Decision4 min read
M5 · Risk & Position Sizing — days 29–33
- Day 29 — Risk Per Trade — the 1% Rule3 min read
- Day 29 — Invested vs At-Risk — the Beginner's Blur2 min read
- Day 30 — Structure-Based Stops3 min read
- Day 30 — The Discipline Layer — Moving Stops2 min read
- Day 31 — Expectancy — the Only Formula That Matters3 min read
- Day 31 — Losing Streaks — the Variance You Must Pre-Fund2 min read
- Day 32 — Drawdown Math — the Recovery Asymmetry3 min read
- Day 32 — Volatility & Beta — Sizing for the Instrument3 min read
- Day 33 — The Kelly Criterion — and Why Pros Bet a Fraction3 min read
- Day 33 — M5 Checkpoint — Size the Trade4 min read
M6 · Psychology & Biases — days 34–38
- Day 34 — FOMO — the Most Expensive Four Letters3 min read
- Day 34 — Revenge Trading — the Second Loss2 min read
- Day 35 — Losses Hurt Twice as Much — Kahneman & Tversky3 min read
- Day 35 — Sunk Cost & the Averaging-Down Trap2 min read
- Day 36 — The Illusion of Skill3 min read
- Day 36 — Confirmation Bias — the Echo Chamber2 min read
- Day 37 — Anchoring — Your Entry Price Is Not a Number the Market Knows3 min read
- Day 37 — Noise vs Information — Filtering the Feed3 min read
- Day 38 — The Journal — Your Only Unbiased Employee3 min read
- Day 38 — M6 Checkpoint — Diagnose the Trader4 min read
M7 · Macro & Context — days 39–43
- Day 39 — Why Rates Move Everything3 min read
- Day 39 — Reading the Fed Without Conspiracy Theories2 min read
- Day 40 — Real Returns — the Inflation Tax3 min read
- Day 40 — Inflation Hedges — What Actually Works2 min read
- Day 41 — The Dollar Is a Position You Might Not Know You Have3 min read
- Day 42 — The Business Cycle — Expansion, Peak, Contraction, Trough3 min read
- Day 42 — Defensive vs Cyclical — Reading a Company's Cycle DNA2 min read
- Day 43 — Event Risk — Earnings, Elections & Binary Moments3 min read
- Day 43 — M7 Checkpoint — the Macro Read3 min read
M8 · Building a Portfolio — days 44–48
- Day 44 — Diversification — the Only Free Lunch3 min read
- Day 44 — Correlation in Crises — the Fine Print2 min read
- Day 45 — ETFs — the Instrument3 min read
- Day 45 — Single Stocks vs the Index — an Honest Comparison2 min read
- Day 46 — Portfolio-Level Position Sizing3 min read
- Day 47 — Rebalancing — Selling Winners on Purpose3 min read
- Day 48 — Asset Allocation by Goal & Horizon3 min read
- Day 48 — M8 Checkpoint — Design the Portfolio4 min read
M9 · Options: Foundations — days 49–53
- Day 49 — The Call — Leveraged Upside With Defined Cost3 min read
- Day 49 — The Put — Insurance and Directional Bear3 min read
- Day 50 — Every Premium Splits in Two3 min read
- Day 50 — ITM, ATM, OTM — Moneyness and Its Consequences2 min read
- Day 51 — Expiration — the Clock That Changes Everything3 min read
- Day 51 — Assignment — the Obligation Side2 min read
- Day 52 — Delta & Theta — the Two That Matter First3 min read
- Day 52 — Implied Volatility — the Price of Possibility3 min read
- Day 53 — Why Most Option Buyers Lose — the Statistics3 min read
- Day 53 — M9 Checkpoint — Read the Option4 min read
M10 · Options: Strategies & the Wheel — days 54–58
- Day 54 — The Covered Call — Renting Out Upside3 min read
- Day 54 — The Cash-Secured Put — Getting Paid to Set a Limit Order3 min read
- Day 55 — The Wheel — the Full Cycle4 min read
- Day 55 — The Wheel's Real Risks — What the Income Hides3 min read
- Day 56 — Vertical Spreads — Buying and Selling the Same Clock3 min read
- Day 56 — Strategy Selection — Matching Structure to View2 min read
- Day 57 — "Income" Strategies — the Yield Illusion Check3 min read
- Day 58 — M10 Checkpoint — Design a Wheel Position4 min read
M11 · Method & Backtesting — days 59–62
- Day 59 — The Trading Plan — Written Before the Money Moves3 min read
- Day 59 — Plan Fidelity — the Metric That Predicts Everything2 min read
- Day 60 — The Three Backtest Killers3 min read
- Day 60 — Paper Trading & the Forward Test2 min read
- Day 61 — The Metrics That Matter — Return, Risk, Risk-Adjusted3 min read
- Day 62 — The Post-Mortem — Every Exit Gets an Autopsy3 min read
M12 · Capstone — days 63–65
- Day 63 — Gauntlet Briefing — Ten Decisions, One Portfolio3 min read
- Day 63 — Gauntlet 2/10 — the macro shock3 min read
- Day 64 — Gauntlet 3/10 — the setup finally triggers3 min read
- Day 64 — Gauntlet 4/10 — the position goes wrong3 min read
- Day 65 — The Skills Bilan — What You Can Now Do4 min read
- Day 65 — Graduation — the Cross-Module Quiz3 min read
All lessons are for educational purposes only and are not individualized financial advice, a recommendation, or a solicitation to buy or sell any security. Options involve substantial risk and are not suitable for every investor.