Over 6,500 hours of hard-earned lessons and refinement over 7 years
This website brings together my 7 years of real-world trading—over 6,500 hours of hard-earned lessons and refinement.
I’m not here to talk about empty theories. Instead, I’m sharing the data-verified and battle-tested trading mindset I’ve developed along the way, without holding anything back.
Whether you’re just starting out or you’re a trader looking for a breakthrough, these five core sections will help you build your own systematic trading framework:

Risk Management | The ultimate line of defense for your capital
Most people think risk management only happens “at the moment you place a trade,” but real safety starts the second you choose a broker. I’ll walk you step by step through regulator websites around the world so you can identify legitimate brokers—right through to precise risk control for every dollar you deploy. Safety is the baseline of trading—and if you want to skip the tedious screening, I’ve also handpicked two top-tier brokers I personally trust most.

Quant Trading | Build an automated trading business from scratch
Quant trading is not out of reach. I’ll share how I entered the quant world step by step, and I’ll openly break down my core quant software setup. More importantly, this isn’t just coding strategies—it’s about teaching you how to use these tools to build your own “trading business”: from integrating MQL5 EAs to expanding into multi-channel strategies like Darwinex Zero, and creating a systematic profit engine.

Automated Workflows System Integration | End-to-end automation from strategy creation to validation
True quant efficiency comes from a fully hands-off automated workflow. In this section, I’ll dive into how to use powerful quant software and digital tools to build a closed-loop automation pipeline—from strategy generation and genetic-algorithm filtering to Monte Carlo validation. Let the system tirelessly develop and eliminate strategies for you, delivering real efficiency and objectivity.

Multi-Asset Allocation | Compounding across markets
Don’t put your eggs in one basket—and definitely not in baskets that are highly correlated. Once you’ve mastered quant techniques, expanding into different markets is the key to steady, resilient growth. In this section, I’ll go deep into “strategy correlation analysis,” showing you how to use a correlation matrix to filter truly complementary, low-correlation strategy combinations (for example, hedging across different currency pairs and trend vs. range logic). With cross-market and multi-asset capital allocation, you’ll learn how to reduce drawdown risk from any single strategy and build an all-weather growth engine that can keep moving forward in any market condition.

Trading Psychology | Train a calm, unshakable winner’s mindset
Even the most perfect quant model can fall apart after a brief drawdown without strong psychological resilience. In the end, trading is a mental game. I’ll share how I adjust my mindset, keep rational and realistic expectations for my trading plan, and stay calm through market swings—so you can execute the discipline of “keep what should be kept, replace what should be replaced.”
