
Free Download Funded FTMO : Top 5 High Winrate Forex Trading Strategies
Published 8/2025
Created by Next-Gen Trading & Tech
MP4 | Video: h264, 1280x720 | Audio: AAC, 44.1 KHz, 2 Ch
Level: All | Genre: eLearning | Language: English | Duration: 12 Lectures ( 2h 26m ) | Size: 1.36 GB
Top 1% Forex Trading : Pass Any propfirm Challenge with 90% Accuracy ! Grow Your Account with Quality Trades in Markets
What you'll learn
Understand the FTMO Challenge rules & structure (verification, scaling, drawdowns, trading hours, instruments).
Learn exact trading hours and instrument eligibility to avoid rule violations.
Understand prop firm psychology - why these rules exist and how to use them to your advantage.
How to set realistic challenge objectives & KPIs (daily P/L goals, weekly milestones, risk caps).
Build risk management guardrails to protect your account.
Discover how to structure your trading around probability, expectancy, and risk-to-reward ratios.
London Open Volatility Breakout - capture momentum when liquidity floods the market.
Price Action + EMA Trend Filter - align with institutional order flow for high-probability entries.
Hybrid Strategy (Breakout + Retest + Trend Confirmation) - maximize accuracy while minimizing false breakouts.
Smart Money Concepts (SMC) - liquidity pools, Fair Value Gaps (FVG), and institutional candle formations applied to FTMO challenges.
How to trade with 1% or less per trade risk and still hit profit targets.
Scaling in/out strategies to maximize winners while protecting equity.
How to avoid blowing your account by applying risk-adjusted position sizing models.
How to backtest correctly for FTMO-style trading.
Building your trading journal & performance tracker.
Forward-testing methods to gain confidence before going live.
How to avoid overtrading, revenge trading, and emotional bias.
Daily mindset exercises to build patience and confidence.
Tricks to maintain discipline during the 30-day challenge window.
Concept: Trade breakout of overnight Asian range at London open; aligns with institutional flow
Entry: 15m/5m confirmation candle closes beyond Asian range + volume > 1.2 x avg or ATR momentum confirmation.
SL: ATR(14)*1.2 below breakout candle low (buys) / above (sells).
Stock/Index adaptation: Use pre-market range instead of Asian; trade after NY open instead of London for US indices (or adjust to local session liquidity).
Crypto adaptation: Use daily Asian/low-volume period range while keeping ATR multipliers wider due to 24/7 volatility.
Detect imbalance/FVG zones on H1/H4, wait for pullback to zone within N candles, require engulfing candle touching the zone, enter on next open.
Detect lower volume advance (no demand) or low-volume selloff (no supply) in context of trend (EMA200).
Donchian breakout defines signal; ATR filters volatility and decides whether to trade (skip low-vol days). 1 trade per signal, 1:3 target plan, ATR trailing st
How to apply scaling plan (FTMO style) after proof of consistency: monthly targets, risk-on/risk-off allocation, and when to increase lot sizes vs number of tra
Requirements
A Laptop or Desktop Computer (Windows, macOS, or Linux) with stable internet connection.
A Trading Platform Installed (MetaTrader 4, MetaTrader 5, or TradingView).
Basic Understanding of Trading
No Advanced Skills Required
Willingness to Learn & Practice
Description
This is a comprehensive, professional-grade forex trading created for traders who want to stop guessing and start following repeatable, measurable, and challenge-ready systems. The curriculum is designed to help you pass prop firm evaluations (FTMO, MyForexFunds, The5ers) and to trade profitably across forex, gold (XAUUSD), indices, crypto, and stocks. You will learn institutional-level techniques - market structure, session liquidity, volume analysis, and exact execution rules What this forex trading course gives you (high level - bold = essential outcomes)A challenge-ready trading plan that matches FTMO-style rules: daily loss limits, overall drawdown rules, minimum trading days, and scaling plan.Multiple high-probability strategies (London Open Volatility Breakout; Price Action + EMA-200; Volume - No Supply / No Demand; FVG + Engulfing; Hybrid systems).Complete risk & money management templates: ATR-based stops, position-sizing spreadsheets, correlation limits, and exposure rules.Backtesting & walk-forward tools (MT4/MT5 + Python notebook) so you validate edge before risking capital.Trader psychology curriculum including tilt prevention, pre-session routines, and recovery playbooks.Who should take this courseThis forex trading course is ideal for:Traders preparing for FTMO or similar prop-firm challenges.Forex traders who want durable, high-winrate systems and professional risk controls.Traders of crypto and stocks who want to apply institutional-style price-action + volume methods.Intermediate traders who need consistency and a rule-based approach.Advanced traders looking for volume-edge methods (No Supply / No Demand) and automation templates.Not suitable for people expecting "signals-only" or "get-rich-quick" schemes. This is a serious, work-focused forex trading curriculum.Extremely detailed learning outcomes (what students will be able to do - bold are core competencies)Design a challenge-compliant trading plan that will not accidentally break FTMO rules (daily loss, overall drawdown, min trading days).Execute the London Open Volatility Breakout with exact entry filters, ATR-based SL, and scaled exits to maximize reward while protecting capital.Apply Price Action + EMA-200 rules: identify market structure, confirm trend bias, and use two-consecutive-closes or pullback rejections for precise entries.Detect institutional flow via Volume and NSND: read No Supply / No Demand signals, combine with context, and trade with probabilistic edge.Backtest and validate strategies using MT5 and Python; compute expectancy, max drawdown, Sharpe, precision/recall, and perform walk-forward stability checks.Build or adapt EAs (MQL4/MQL5) with hard safety features (daily hard stop, time filters, max open trades).Manage psychology: pre-session checklist, daily KPI review, tilt prevention rules, and a recovery plan when underperforming.Scale responsibly: apply FTMO-style scaling plans and build long-term account growth rules.Module 1 - FTMO & Prop Firm Rules Deep DiveExact definitions: Challenge vs Verification, profit targets, Daily Loss (5%), Overall Drawdown (10%), minimum trading days.Real examples of rule violations and how to avoid them.Deliverable: one-page FTMO Rules Checklist and platform config.Module 2 - Objectives, KPIs & Risk Guardrails Set daily P/L targets: safe band 0.5%-1% (customized by account size & instrument).KPI Dashboard: Win rate, Avg R:R, Expectancy, Max Drawdown, # trades/day.Personal guardrails: stop trading triggers (e.g., −3% personal stop).Module 3 - Platform Setup, Templates & Tools MT4/MT5 workspace, TradingView setups for crypto and stocks.Install indicator pack (NSND, FVG), import chart templates.PositionSizer.xlsx walkthrough (FX, Stocks, Crypto tabs).Module 4 - Strategy Pack A: London Open Volatility Breakout Concept & market rationale (liquidity flows at London Open).Entry rules: time window (07:45-09:30 London time), breakout filters, volume confirmation, tick-volume rules.Stop & target rules: ATR-based SL (1.2x ATR), scaled exits (50% at 1R), trailing rest with ATR.Trade management: partial exits, break-even rules, invalidation exits.Module 5 - Strategy Pack B: Price Action + EMA-200 Trend Filter Market structure: swing highs/lows, trend definition.Precise entry rules: 2 consecutive closes beyond EMA or pullback rejection (pin bars / engulfing).SL/TP rules, R:R management (1:1.5 - 1:3).Adaptations for Forex, Stocks, Crypto. Deliverables: cheat sheet + example trades.Module 6 - Strategy Pack C: Volume - No Supply / No Demand (NSND)VSA primer: supply & demand, absorption, and tests.No Demand: low-volume up bars in uptrends signaling lack of buying.No Supply: low-volume down bars revealing lack of professional selling.Combining NSND with EMA-200 and session bias for very high-probability entries.Real pair examples: GBPUSD, EURUSD, XAUUSD, BTCUSD.Module 7 - Strategy Pack D: Fair Value Gap (FVG) + Engulfing FVG identification, zone drawing, timeframe rules (H1/H4).Entry only after engulfing candle touches FVG within N candles; SL beyond FVG extreme.Exact backtest parameters and examples.London Open Volatility Breakout - example rules (15m / XAUUSD)Time window: 07:45-09:30 London time (adjust to broker server).Asian range: high/low from 23:00-06:00 London (adjust).Entry: 15m candle close outside range & tick volume > 1.2x 20-period avg OR ATR momentum > 1.05 prev ATR.SL: ATR(14) x 1.2 below breakout candle low (buys).TP: 50% at 1R, remainder trailed by ATR(14)x0.8 or target 2R.Filter: only trade with EMA-200 direction on H1; skip if spread > threshold.Price Action + EMA-200 - example rules (15m/1h)Trend filter: EMA-200 on H1 (price above → buys only; below → sells only).Entry A: two consecutive closes beyond EMA on filter timeframe → enter next candle open (aggressive) or after small pullback (conservative).Entry B: pullback to swing level + rejection candle (pin bar / engulfing) → enter on confirmation close.SL: invalidation swing or 1-1.5x ATR(14).TP: scaled: 50% at 1R, remainder to 1.5-2R, trail remainder.No Supply & No Demand (NSND) - practical detectionNo Demand (short bias signal): in uptrend, up-bar with volume below 20-period avg + narrow spread → weak rally → look for subsequent failure to advance. Confirm with lower-timeframe weakness.No Supply (long bias signal): in downtrend, down-bar with volume below avg + narrow spread → lack of selling pressure → look for absorption and subsequent buying.Combine with EMA-200 trend filter and session bias for higher reliability.Risk management (very practical)Risk per trade: 0.5%-1% by default for FTMO-style challenges. Use PositionSizer.xlsx to compute lot/shares/crypto units from USD risk and SL distance.Daily guardrail: set personal hard stop (e.g., −3%) even if FTMO daily limit is −5% to keep margin.Correlation cap: no more than 2 simultaneous same-direction exposures on correlated pairs (e.g., EURUSD & GBPUSD).Emergency kills: manual or EA hard-stop if equity drawdown reaches preconfigured threshold.Backtesting expectations & assignmentBacktest at least 6 months (preferably 12-36 months) or 100 trades to judge strategy viability.Model realistic spread and slippage. For crypto, include exchange fees and funding/rollover.Report: Win rate, Avg R:R, Expectancy, Max Drawdown, Profit Factor, Sharpe (monthly), Max consecutive losses, Equity curve.Trader psychology - rules you must adoptRule 1: Always compute position size before placing the trade. Never trade without the PositionSizer output.Rule 2: If you reach your personal stop (e.g., −3% for the day), stop trading and perform a loss-review session.Rule 3: Log every trade - if you miss journaling 3 trades in a row, stop trading until journal is updated.Rule 4: No revenge trading: after a losing streak of N losses (determine N by your backtest's consecutive loss probability), take a recovery break.Frequently asked questionsQ: Is this course only for forex?A: No. This is a cross-market program. While the course specializes in forex trading strategies (London Open, EMA filter), every strategy has adaptations for crypto and stocks/indices.Q: Do I need coding skills?A: No. The course is fully tradeable manually.
Who this course is for
Beginners in Trading (Forex, Crypto, or Stocks)
Intermediate Traders
Aspiring Prop Firm Traders (FTMO, MFF, Toptier, etc.)
Forex Traders
If you trade Bitcoin, Ethereum, or Altcoins, you'll learn: How to adapt prop-firm-style strategies for Crypto markets.
Stock & Index Traders
Homepage
Code:
Bitte
Anmelden
oder
Registrieren
um Code Inhalt zu sehen!
Recommend Download Link Hight Speed | Please Say Thanks Keep Topic Live
Code:
Bitte
Anmelden
oder
Registrieren
um Code Inhalt zu sehen!