Hi, I’m Charles Clifton, a full-time Forex Trader, Certified Coach, Trading Seminar Speaker and budding MQL coder – Trading is all I do – and I have developed a series of processes which I am able to share with you which will structure your trading day, building your knowledge and confidence as you go.
The focus of everything we do together is placed firmly on the process of gathering meaningful technical and fundamental information from the market which, when coupled with effective money management, will enable you to take considered trading decisions – removing the guesswork, controlling the risk.
I understand first-hand the frustrations involved in learning to trade, not just academically, but profitably and consistently, and I can tell you that there is nothing quite like sitting in a live trading environment receiving structured 1-to-1 tuition from a professional to demystify this business, where you are welcome to ask questions and explore in-depth the technical and psychological aspects required to take you to the next level.
Each of the courses I offer last 6 hours, is delivered 1 to 1 from my trading office in Bristol and can be scheduled to suite your availability.
3 training courses found
The second of three essential pillars of successful trading. This module forms an essential part of my daily trading routine; it’s the part of my day that not only explains why price just did what it did, but also what’s on the slate for today, what the markets are expecting, and how they may react.
The first of three essential pillars of successful trading Here I show you a complete process that you can use to conduct structured, meaningful, multi-timeframe analysis, taking a snapshot of the whole market along with detailed observations. This process leads to a paper based traffic light system which, once completed, enables you to see at-a-glance which currency pairs you should be looking closely at and which pairs you should simply avoid – all this without even opening a chart - removing the noise and revealing only the pairs currently offering high probability setups.
The third of three essential pillars of successful trading – longevity – get this bit wrong and it’s over ! Here I lay out in detail my 3 part position sizing algorithm – Simply the most important aspect of my trading – and show you how to use it again and again to quantify your best case and risk case scenarios to control your exposure to the market, allowing you to ride out the storms (and there will be storms !) and still have an account to trade with on the other side. We will cover: The risk management mind-set The risk management process Volatility adjusted stop algorithms Volatility adjusted position sizing Risk : Reward ratios Margin requirement calculations Book exposure by trade and basket I show you step-by-step how all these elements combine in to a defined pre-trade process which will become second nature to you.