DAY One (Getting Started)
4 April 2026, Saturday
10:00AM - 3.30PM (GMT +08:00)
Chapter 1:
Introduction to Price Action Manipulation Trading
Chapter 2:
Trade Mechanics and Market Flow
Chapter 3:
Big Players Demand Supply Manipulation
Chapter 4:
Price Action Manipulation Execution Signals
Chapter 5:
Force Strike Bar Formation Trading Strategy
Chapter 6:
Price Momentum Analysis
Chapter 7:
Introduction to Forex Market
DAY Two
5 April 2026, Sunday
10:00AM - 3.30PM (GMT +08:00)
Chapter 8:
Futures and Commodities Market
Chapter 9:
Sweet Spot Entries and Exits
Chapter 10:
Market Accumulation and Distribution Rotation Model
Chapter 11:
Screening for Swing Trading Set Ups
Day Three
11 April 2026, Saturday
10:00AM - 3.30PM (GMT +08:00)
Chapter 12:
Secrets to Trading Price Action Continuation Strategy 1 – UC1 and DC1
Chapter 13:
Secrets to Trading Price Action Continuation Strategy 2 – UC2 and DC2
Chapter 14:
Secrets to Trading Price Action Reversal Strategy 1 – UR1 and DR1
Chapter 15:
Secrets to Trading Price Action Reversal Strategy 2 – UR2 and DR2
Chapter 16:
Price Action Short-Term Trading Futures & Forex
Day Four
12 April 2026, Sunday
10:00AM - 3.30PM (GMT +08:00)
Chapter 17:
Strategic Risk and Money Management
Chapter 18:
Forex Market Risk Control
Chapter 19:
Futures and Commodities Risk Control
Chapter 20:
Creating Your Unique Trading Plan
Chapter 21:
Mental Modals of Professional Traders