Home › The Primer Path
The Primer Path
From zero to your first well-managed trade
Nine stages, fifty-six lessons, one right order: understand the market → protect your money → then place a trade. New lessons publish daily — follow @CryptoMacroEye to catch each release, or grab the free Starter Kit to get the whole roadmap as a PDF.
Stage 0 — Mindset
Before charts, before money: the expectations that decide whether you survive year one.
- 1Trading is a profession, not gambling — realistic expectations for beginnerslive
- 2Why most new traders lose money in their first year — the root causespublishing soon
- 3Knowledge capital before trading capitalpublishing soon
- 4How the crypto market actually works — supply, demand and market makerspublishing soon
Stage 1 — Markets & tools
The machinery: exchanges, orders, leverage, liquidity — and how to read a candle.
- 5How to choose a trustworthy exchange — the criteria that matterpublishing soon
- 6Market, limit and stop orders — when to use whichpublishing soon
- 7Leverage and margin — amplified gains, liquidation riskpublishing soon
- 8Liquidity and spread — why altcoins slip more than BTC and ETHpublishing soon
- 9Timeframes — 1m to daily: which chart is for whompublishing soon
- 10Reading Japanese candlesticks — what every part of a candle meanspublishing soon
Stage 2 — Classic technical analysis
The oldest edge there is: structure, levels, volume and patterns — read objectively.
- 11What a trend is — higher highs/lows vs lower highs/lowspublishing soon
- 12Support and resistance — finding the levels that matterpublishing soon
- 13Volume — the confirmation tool everyone ignorespublishing soon
- 14Multi-timeframe analysis — see the big picture before the small entrypublishing soon
- 15Reversal candle patterns — engulfing, pin bar, doji, in contextpublishing soon
- 16Trendlines and channels — drawing them objectively, not wishfullypublishing soon
Stage 3 — Smart money concepts
How large players move markets — structure breaks, order blocks and liquidity hunts.
- 17Market structure — BOS and CHoCH explainedpublishing soon
- 18Order blocks — what they are and how to validate onepublishing soon
- 19Fair value gaps — why price keeps coming back to fill thempublishing soon
- 20Liquidity in SMC — buy-side and sell-side poolspublishing soon
- 21Liquidity sweeps and stop hunts — recognizing short-term manipulationpublishing soon
- 22Kill zones and sessions — when liquidity is deepestpublishing soon
- 23Classic TA vs SMC — separate schools or one toolkit?publishing soon
- 24Reading a chart the SMC way — a completed case studypublishing soon
Stage 4 — Risk management
The stage that decides everything. Nothing here is optional.
- 25Risk/reward — why it matters more than win ratepublishing soon
- 26Expectancy — the formula that tells you if your system makes moneypublishing soon
- 27Position sizing — sizing every trade by % of account riskpublishing soon
- 28Stop losses done right — too tight, too wide, and the fixpublishing soon
- 29Drawdown — how much pain means "stop and review"publishing soon
- 30Safe leverage for beginners — the no-liquidation principlespublishing soon
Stage 5 — Psychology
The market's final boss is in your head.
- 31FOMO — why traders enter late and pay for itpublishing soon
- 32Revenge trading — the loss-chasing spiral that burns accountspublishing soon
- 33Overtrading — the warning signs and the brakespublishing soon
- 34Confirmation bias — seeing only what agrees with your positionpublishing soon
- 35Loss aversion — why losing hurts twice as much as winning feels goodpublishing soon
- 36Discipline — building the habit of following your own planpublishing soon
Stage 6 — Your trading system
Turning knowledge into a repeatable, testable process.
- 37The trading plan — the parts you cannot skippublishing soon
- 38Backtesting — checking your system against the pastpublishing soon
- 39Forward testing — demo and small-size live before real moneypublishing soon
- 40The trading journal — what to record and how to review itpublishing soon
- 41Reviewing after 20–30 trades — when to keep, when to fixpublishing soon
- 42One strategy, mastered — why system-hopping failspublishing soon
Stage 7 — Costly mistakes, dissected
Every classic account-killer, taken apart — with the fix.
- 43Entering without a plan — the pre-trade checklistpublishing soon
- 44Risking 5–10% per trade — why 1–2% is the standardpublishing soon
- 45Not cutting losses — the "it will come back" trappublishing soon
- 46Taking profit too early — letting winners actually runpublishing soon
- 47Skipping the journal — what every serious trader recordspublishing soon
- 48Trading on rumors and crowd FOMO instead of your systempublishing soon
- 49Leverage beyond your experiencepublishing soon
- 50Changing strategy after every few lossespublishing soon
Stage 8 — Going live & staying sharp
From demo to real money — and staying in the game for years.
- 51From demo to real money — readiness signals and starting sizepublishing soon
- 52Scaling up safelypublishing soon
- 53Diversify or concentrate — the crypto trade-offspublishing soon
- 54Handling big wins — the overconfidence trappublishing soon
- 55Surviving long sideways and bear marketspublishing soon
- 56Learning forever — what to read, who to follow, how to stay currentpublishing soon
FREE STARTER KIT
Want the whole roadmap as a PDF?
Get the 56-lesson roadmap, the position-sizing cheat sheet and the pre-trade risk checklist — free, in your inbox.
Get the Starter Kit →