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Education

Free forex trading education across every part of the craft: plain-English basics, technical and fundamental analysis, Smart Money Concepts, risk management, psychology, and prop firm trading. Every guide is written around real charts and links to the matching free tools and indicators. Pick a topic below, or see every guide in one list.Smart Money Concepts 58 guidesSmart Money Concepts and ICT education: order blocks, fair value gaps, liquidity, kill zones, and market structure explained step by step.Technical Analysis 50 guidesLearn how RSI, MACD, moving averages, Bollinger Bands, and other forex indicators actually work, with settings and reading rules explained.Forex Basics 28 guidesPlain-English forex basics for beginners: pips, lots, leverage, spreads, sessions, currency pairs, and how MT4 and MT5 work in practice.Risk Management 27 guidesForex risk management education: position sizing, risk-reward ratios, stop losses, leverage, drawdown control, and capital protection rules.Prop Firm Trading 29 guidesProp firm trading education: how funding challenges work, drawdown rules, payout models, and strategies to pass and stay funded.Trading Psychology 25 guidesTrading psychology guides: discipline, FOMO, revenge trading, loss aversion, and the mental routines that keep forex traders consistent.Candlestick Patterns 25 guidesCandlestick patterns explained for forex traders: pin bars, engulfing, doji, Heiken Ashi, and how to read single and multi-candle signals.Chart Patterns 25 guidesChart pattern education: head and shoulders, double tops, triangles, harmonic patterns, and Elliott Wave theory explained with examples.Fundamental Analysis 24 guidesForex fundamental analysis explained: interest rates, economic news, NFP, carry trades, and how macro events move currency pairs.Trading Styles 19 guidesTrading styles compared and explained: scalping, day trading, swing trading, position trading, and how to pick the style that fits you.Trading Plan and Journal 15 guidesTrading plan and journal education: build trading rules, log trades, review performance, and turn journaling into better decisions.Order Types and Execution 13 guidesOrder types and execution explained: market, limit, and stop orders, slippage, spreads, and how forex trades are actually filled.Automated and Copy Trading 20 guidesAutomated and copy trading explained: expert advisors, trading bots, copy trading platforms, VPS hosting, and realistic expectations.Market Sentiment 14 guidesMarket sentiment education for forex: COT reports, positioning data, fear and greed, and how to read what other traders are doing.Forex Brokers 14 guidesForex broker education: regulation, ECN vs market maker, spreads, commissions, and how to choose and test a broker with confidence.Backtesting and Systems 15 guidesBacktesting education: test strategies on historical data, avoid curve fitting, run forward tests, and read performance metrics correctly.

ICT Indicators Guide: Free MT4 and MT5 Concept Tools

ICT Indicators Guide - free MT4 and MT5 guide with tested tools

ICT indicators translate the Inner Circle Trader method into lines, boxes, and labels on your MT4 or MT5 chart. Also, the method itself, taught by Michael Huddleston, reads institutional order …

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Risk Disclosure: Trading futures and foreign exchange carries a high degree of risk and is not appropriate for everyone. You may lose part, all, or more than the funds you commit. Trade only with risk capital — money you can afford to part with without harming your financial stability or way of life. If you do not hold surplus capital of this kind, you should not trade these markets. Past performance is not necessarily indicative of future results.

Hypothetical Performance Disclosure: Simulated or hypothetical results carry built-in limitations, several of which are noted here. No claim is made that any account has achieved or is likely to achieve gains or losses comparable to those shown; in practice, live outcomes often diverge sharply from modelled ones. A key shortcoming of hypothetical figures is that they are usually constructed after the fact, with full knowledge of how the market moved. Back-tested trading also puts no real money on the line, so no simulated record can fully reflect how financial risk shapes live decisions. A trader's capacity to absorb drawdowns, or to keep following a system through a losing streak, materially affects real returns and cannot be reproduced in a model. Many further market and execution variables likewise escape any hypothetical calculation, and each can work against actual trading performance.

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