Eight classes, recorded by the desk and streamed on demand. No "intro to candlesticks" filler, no hype intros. We work through the concepts that actually move the desk's P&L, in the same order they show up on a real chart.
The single 3-candle structure our entire system is built on. What it looks like, how to identify it in real time on a 1-minute chart, and the exact geometric definition the desk uses to filter 80% of false positives.
What makes a Kuro signal valid (full confirmation, not a wick), the first-touch-only rule 90% of educators skip, and why retests are statistically worthless. The single discipline rule that separates the desk from retail.
Asia and London session extremes. These are where stop-hunting algorithms feast. We teach you how to identify a valid trap (wick through, close back) versus a real breakout. The Asia-session edge alone prints PF 3.22 in our backtest.
Beyond session extremes. How to read intra-session structure using the desk's N-bar pivot method. This single class teaches you to spot 85% of our setups. 1,487 of the 1,746 backtested triggers come from here.
Why "1:2 R:R" is amateur hour. The dynamic formula the desk uses (R:R = 1 + ATR/risk ÷ 2, capped at 2.5×) adapts your take-profit to the day's volatility. We walk through the ablation that proves the system collapses without it.
One filter. Long only above the daily bias line, short only below. Session-anchored, daily reset. Removing this single rule collapses Sharpe from 1.03 to 0.46 in our ablation test. We show you exactly why, and exactly how to use it.
When to move your stop to break-even (at 33% to TP, not before). When to take partial (50% of position at 50% to TP). Why these numbers, and not 25% or 75%. The math that turns a 26% pure win rate into a 48.7% blended one.
The skill 99% of retail never develops: knowing when to do nothing. Daily volatility percentile filtering, regime transition detection, weekday edges (Tuesday PF 1.36, Friday 1.07), and the kill-switches that protect your account from the worst version of yourself.
"already done 2 other futures courses before this, both basically the same recycled content. honestly the bootstrap distribution chart on the proof page is what made me pull the trigger - first time id ever seen a real backtest from someone selling a course. passed my topstep 50k 11 days after class 5. still kinda tripping out about it."
"thought this was gonna be another reskinned guru course tbh. its not. the bias rule alone has stopped me from taking like 20+ trades id otherwise have taken and lost on. would love to know what kuro was 6 months ago when i blew my last 25k swing account lol"
"Software engineer in my day job. Came in skeptical — most trading 'systems' I've reviewed don't survive a careful read. This one does. The class 4 walkthrough alone changed how I size positions, first time I've seen someone actually show the math instead of hand-waving 'risk 1%'. Reads more like a research write-up with a curriculum attached than the usual guru content."
"4 blown accounts before this. zero since. main thing for me was class 8 — knowing when NOT to take a trade. nobody else even talks about that. wish id had this 18 months ago instead of lighting 4 grand in eval fees on fire"
"Used flat 1:2 RR my whole trading career. Switched to the ATR formula from class 5 and my profit factor went 0.91 → 1.18 inside a month. Was not expecting the bump to be that obvious tbh."
"worth $200 for the indicator alone. ive paid way more for TV scripts that do half of what this one does. and its the SAME code they trade with live. cant find that anywhere else."
Testimonials reflect individual experience and are not a guarantee of results. Trading futures involves substantial risk of loss. Past performance is not indicative of future results.