Free on YouTube

The whole framework. Free, on YouTube.

Three years of heavy learning, distilled into twenty-nine episodes and a trailer. Roughly ten minutes each. In order, with nothing assumed and nothing skipped — from "what is a derivative" all the way through to how I read institutional positioning and how I trade stocks differently from currencies.

I'm not holding the good parts back for a paywall. The complete system is the free series. If you want to go deeper than a video can take you, that's what the section at the bottom of this page is for.


Why this one is different

Built in the order you actually need it.

Nothing assumed

Episode one is "what is trading". Not because you're slow, but because almost every course starts three rungs up the ladder and quietly loses you there.

Risk taught early

Most courses bury risk management in module nine. It's module three here, because it's the only thing standing between a coral cut and a head injury.

Real losses shown

I'll show you trades that went against me and what I did about them. A curriculum of nothing but winners teaches you nothing except how to feel confident.


The free series

Eight modules. Twenty-nine episodes.

Around six hours end to end, plus a trailer. Each episode does exactly one job, then stops. They drop weekly, in order — start at episode one and work down.

Being worked on

The series is in production. Episodes go live on the channel in order — follow it there and you'll get each one as it drops.

Module one

Foundations — Welcome to Trading

The vocabulary and the plumbing, in plain English, before anyone shows you a chart.

  1. What is trading? — trading versus investing, and why confusing them is expensive.
  2. What is a derivative? — futures, options and CFDs, and why retail traders end up using them.
  3. Options, properly — calls and puts in plain English, what the premium actually buys you, and why time quietly works against the buyer.
  4. The power and danger of leverage — it amplifies wins and losses. Mostly losses.
  5. How I actually trade — my own money, prop firms and funded challenges compared honestly.
  6. The true cost of every trade — spreads, commissions, swaps and carry. Holding time changes the maths.

Module two

Mindset & Philosophy

The thinking that decides whether the technical skill ever gets used properly.

  1. Be Like Water — flow with the market instead of predicting it.
  2. The Two-Part Framework — charts are the past, fundamentals are what's likely next.
  3. Trading is wave-riding — find the wave, ride it, get off before it breaks.

Module three

The Best Loser Wins — Risk Management

The module that keeps you in the game long enough for the rest to matter.

  1. The best loser wins — the traders still here in five years are the ones who got comfortable losing. You will lose more often than you win. That's fine, because the wins are bigger. Nothing is ever certain, you're never married to a trade, and you're reacting to an edge rather than predicting the future.
  2. Coral cuts, not head injuries — position sizing, with real losses of mine on screen.
  3. The psychology trap — what you do after a loss, and how I use AI to keep myself honest.

Module four

Reading Charts — Foundations

Higher timeframes only. Where to get on the wave and where to get off.

  1. What is a trend? — uptrend, downtrend, range, and how to tell quickly.
  2. Multi-timeframe analysis — four-hour, daily, weekly and monthly folded into one view.
  3. Why I don't day trade — the noise, the lifestyle, and where the edge actually lives.
  4. The Big Brother concept — higher-timeframe zones, and with-trend versus against-trend.
  5. Support and resistance versus supply and demand — and why supply and demand is more powerful.
  6. How I use zones — candles are history, not prophecy.

Module five

Reading Smart Money

Who is actually on the other side of your trade, and what their book is doing.

  1. Who's actually in the market? — speculators versus hedgers.
  2. What is COT data? — the basics, in plain English, no acronym left undefined.
  3. Read the book, not the bet — net positioning, velocity and momentum over weekly noise.
  4. When commercials are king — where they're smart, where they're not, and the cocoa case study.

Module six

Carry, Seasonality & Tools

The edges that sit underneath the chart and quietly do half the work.

  1. What is a carry trade? — interest rate differentials explained like a mortgage and a savings account.
  2. Seasonality — why the time of year matters, especially in indices and metals.
  3. My trading tool stack — what I use, why, and how each piece maps to the framework.
  4. AI in my trading workflow — staying neutral, running weekly reviews, learning from losses.

Module seven

Putting It Together

  1. Same philosophy, different markets — currencies, indices, metals and commodities. Same waves, same discipline.

Module eight

Stocks — A Standalone Strategy

  1. How I trade stocks differently — pullbacks and momentum breakouts built on financial fundamentals.
  2. My custom relative strength tool — the tool I built, demonstrated live, and how AI helped design the logic.

Going deeper

Where a video stops being enough.

A ten-minute episode can teach you a concept. It can't look at your actual chart, your actual position size, or the specific reason you keep doing the thing you know you shouldn't. That's a different kind of help, and it's the part I'm building next.

01

The full course

A structured, paid programme that goes considerably deeper than the free series — the workflow itself rather than the ideas behind it. Live worked examples, the tools set up properly, the weekly process end to end, and the material I can't compress into ten minutes.

In development. No date yet — I'd rather build it properly than announce it early.

02

One-on-one mentoring

Working directly with me on your trading — your markets, your risk, your process, your psychology. A small number of people, because it can't be done at scale and be worth anything.

Not open yet. The interest list decides how and when it opens.

Register your interest.

No commitment and nothing to pay — you're telling me you want the deeper version so I know who I'm building it for. The interest list hears first, before anything is public, and it shapes what actually gets made.

Prefer to just talk? Email me directly at christian@capitalclaritytrading.com.au.


Read this before you sign up for anything

Trading is not investing. And it's optional.

A complete financial plan does not require you to trade. For most Australians the foundation is owning real, productive things over a long time — and that's it. Trading is a separate, active, entirely optional layer on top of that foundation, and it is genuinely hard.

So if you're here because you want a faster way to fix your finances, be honest with yourself: this isn't it. Start with the fundamentals content instead. It'll do more for you.

If you're here because you want to understand markets properly and you're prepared to put the years in — that's exactly who this is built for. And it's why the whole framework is free. You should be a long way in before you ever think about paying me anything.

“There is never an easy way out. The boats that survive are built to weather it.”

Never miss an episode.

Episodes drop weekly once the series is live. The list gets each one as it lands, along with the weekly market update and the fundamentals breakdowns.

No spam, no signals, no "urgent" alerts. Unsubscribe in one click.