Master Trading Through Real Economic Events

Economic calendars aren't just date lists. They show you when markets actually move. Our program teaches you how to read these signals, understand what triggers volatility, and make decisions based on actual economic releases rather than guesswork.

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Why Economic Calendar Trading Works

Most traders react to price movements without understanding what causes them. We start with the data releases that actually move markets and build your strategy from there.

Data-Driven Timing

Learn which economic releases create genuine trading opportunities. Not every announcement matters equally, and we'll show you which ones actually impact your positions.

Volatility Preparation

Big announcements bring big moves. We teach you how to prepare for these moments, manage exposure, and avoid getting caught on the wrong side of sudden swings.

Multi-Market Analysis

Economic releases affect currencies, indices, and commodities differently. Understanding these relationships helps you spot opportunities across multiple markets simultaneously.

Risk Management Systems

Trading around economic events requires different risk controls than regular market hours. We'll walk you through position sizing and stop placement for high-volatility periods.

Our Three-Phase Learning Approach

We don't just throw information at you. Each phase builds on the previous one, moving from fundamental concepts to live market application.

Students analyzing economic calendar data on multiple screens

Phase One: Calendar Fundamentals

You'll learn how to read economic calendars, identify high-impact releases, and understand consensus vs. actual figures. This phase runs eight weeks and covers major economic indicators from employment data to central bank decisions.

Phase Two: Strategy Development

Here's where you build your personal approach. We analyze historical data, study market reactions to past releases, and develop entry and exit strategies for different scenarios. Ten weeks of hands-on strategy building.

Phase Three: Live Application

The final twelve weeks involve trading actual events under supervision. You'll execute real trades around scheduled releases, analyze your decisions, and refine your approach based on actual results.

Program Investment Options

Choose the learning path that matches your current knowledge level. All programs start in September 2025.

Foundation Track

₩2,400,000 / 8 weeks
  • Economic calendar fundamentals
  • Major indicator analysis
  • Market reaction patterns
  • Weekly group sessions
  • Course materials included
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Complete Program

₩6,800,000 / 30 weeks
  • All three phases included
  • Strategy development workshops
  • Supervised live trading
  • Individual progress reviews
  • Ongoing market analysis
  • Access to alumni network
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Advanced Intensive

₩4,200,000 / 12 weeks
  • For experienced traders only
  • Advanced event strategies
  • Multi-market correlation
  • Volatility trading techniques
  • Small group format
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Ellery Kjellberg reviewing trading charts

Real Experience From Past Students

Before this program, I was trading blind. I'd see price movements but never understood what caused them. Learning to anticipate volatility around economic releases changed everything about how I approach markets. I'm not saying I win every trade now, but I actually understand what I'm doing.

Ellery Kjellberg
Completed program in 2024

What Makes Our Approach Different

We focus on practical application rather than theory. Every concept connects directly to actual trading decisions you'll need to make.

Live trading session focused on economic calendar events

Live Event Analysis Sessions

We don't just talk about economic releases in theory. During the program, we analyze real events as they happen. You'll see how markets actually respond to data, which often differs from textbook explanations. These sessions happen during actual market hours around major releases.

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