Economic Calendar Trading Program

Master systematic approaches to market analysis through our structured 12-month curriculum. Starting September 2025, this program combines theoretical foundations with practical application methods.

Core Learning Modules

1

Market Foundation & Calendar Analysis

Understanding economic indicators and their market impact patterns. We cover central bank policies, employment data, and inflation metrics that drive currency movements.

  • Economic indicator interpretation
  • Central bank policy analysis
  • Market correlation studies
  • Historical event impact research
2

Technical Analysis Integration

Combining chart analysis with economic calendar timing. Students learn to identify confluence points where technical patterns align with scheduled economic releases.

  • Support and resistance mapping
  • Trend analysis techniques
  • Volume and volatility studies
  • Pattern recognition methods
3

Risk Management Systems

Developing disciplined approaches to position sizing and portfolio protection. This module emphasizes practical risk assessment and systematic decision-making frameworks.

  • Position sizing calculations
  • Stop-loss placement strategies
  • Portfolio diversification principles
  • Drawdown management techniques
4

Advanced Market Psychology

Understanding crowd behavior around major economic announcements. Students analyze how market sentiment shifts before, during, and after significant calendar events.

  • Sentiment indicator analysis
  • Behavioral finance concepts
  • Market positioning studies
  • Contrarian strategy development

Learning Assessment Timeline

Q1

Foundation Assessment

Quarterly review covering economic calendar navigation, basic technical analysis, and initial market research projects. Students complete case studies analyzing past market events.

Q2

Integration Evaluation

Mid-program assessment focusing on combining multiple analysis methods. Students present detailed research on currency pair behavior during major economic releases.

Q3

Portfolio Analysis Project

Comprehensive portfolio simulation exercise where students apply risk management principles across different market conditions and economic scenarios.

Q4

Final Certification Review

Capstone project demonstrating mastery of systematic trading approaches. Students present original research combining technical and fundamental analysis methods.