Multi-Asset Trading Mentorship Program (TMP)

5411 students enrolled4.7 Rating

Includes 5 Learning Modules

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94,400*incl. of Taxes

Overview

You may have learned different strategies, watched countless videos, and explored multiple markets. But when it comes to actual trading, you still find yourself struggling to make clear decisions, follow a system, or stay consistent.

The problem may not be a lack of information—it could be the lack of a structured approach. Let’s look at the common trading challenges and how TMP helps you overcome them:

  • Scattered learning → Structured, week-by-week curriculum
  • Unclear decisions → Build a defined trading system
  • Single-asset focus → Learn to trade across asset classes
  • Unanswered doubts → Daily support from trading associates
  • Inconsistent profits → Psychology and risk management built in

What Makes the Program Different?

  • 41+ hours of live sessions across 4 modules
  • 32+ hours of live trading with real-time entries, exits and risk management
  • 16+ hours of doubt clearing to get your questions answered
  • 10+ hours of on-demand content for revision anytime16 domain experts across Equity, Options, Commodities and Macro
  • 4 trading associates for daily queries, setup reviews and market guidance
  • Post-market analysis, Monday to Friday based on the day’s market action
  • Daily WhatsApp insights to stay connected with the market

The 4 Modules

Four modules designed to take you from understanding the market to applying advanced strategies.

  • Module 01 — Stock Trading 101: Build a strong foundation in trading, charts, technical analysis, psychology and risk management.
  • Module 02 — Systematic Momentum Trading & Investing: Learn rule-based momentum strategies using relative strength, swing setups and long/short approaches.
  • Module 03 — Rule-Based Options Trading: Understand options, Greeks, Open Interest and directional and non-directional strategies.
  • Module 04 — Price Action & Strategies on Equity & Commodities: Apply price action strategies across equities and commodities while understanding global macro factors.

Strategies You’ll Learn

  • RS-Based Long & Short Strategy
  • RS55 Swing Trading Strategy
  • Momentum & Volcano Strategy
  • Relative Strength Chart Pattern Strategy
  • Directional & Non-Directional Options Strategies
  • Bread & Butter Expiry-Day Setup
  • Gamma Hulk Strategy
  • Breakout & Breakdown Strategy
  • Golden Swing Strategy (GSS)
  • Pullback Trading Strategy

What You Build in 6 Months

✓ A structured approach to entries and exits

✓ Defined risk-management and position-sizing practices

✓ Understanding across equities, options and commodities

✓ Experience applying concepts in live markets

✓ Greater discipline around trading decisions

Modules Included

What Will You Learn?

  • Learn Dow Theory, charts, and timeframes to identify whether the market is bullish, bearish, or sideways.
  • Master trendlines, support, and resistance to know where to enter and exit trades.
  • Decode candlestick patterns (single, double, triple) to understand what buyers and sellers are doing.
  • Recognize reversal and continuation setups so you can catch big moves or ride ongoing trends.
  • Use moving averages, RSI, MACD, and Relative Strength indicators to filter trades.
  • Execute intraday, swing, and positional strategies with clear entry, exit, and stop-loss rules.
  • Understand the basics of derivatives and options trading, including payoffs and market indicators
  • Use AI tools like ChatGPT, Gemini, and Perplexity AI to simplify analysis and build a structured trading routine
  • Building trading discipline through self-awareness, routine, and rule-based decision-making

What Will You Learn?

  • Identify high-probability price action setups using support & resistance, breakout, and retest strategies.

  • Understand how volume influences price movement and helps confirm trade setups.

  • Learn the advanced concept of Relative Strength (RS) to identify strong and weak stocks in the market.

  • Apply Relative Strength analysis across multiple timeframes for better trade selection.

  • Build a structured RS-based trading framework to make disciplined trading decisions.

  • Develop and execute RS55 Swing Trading Strategies for short, medium, and long timeframes.

  • Learn how to go long on strong stocks and short on weak stocks to trade in any market condition.

  • Master the Volcano Strategy to identify fundamentally strong stocks at the most explosive stage of their market cycle.

  • Use automated indicators and defined risk management rules for precise entry and exit signals.

  • Combine chart patterns with Relative Strength to identify high-probability breakout opportunities.

  • Use Combo Scans to find momentum stocks and build systematic momentum trading and investing strategies.

  • Enhance trade execution, risk management, and position management.

 

What Will You Learn?

  • Explore the concept of derivatives and understand risk-reward dynamics along with payoff structures for buyers and sellers
  • Analyze option chain data from NSE and interpret open interest to identify market positioning and trends
  • Learn options trading strategies and build both directional and non-directional setups using tools like Opstra, and validate them through backtesting on StockMock
  • Learn how to manage risk and apply position sizing techniques to protect capital while aiming to maximize returns
  • Understand algorithmic trading and how rule-based systems can be used to execute strategies with consistency and discipline
  • Identify opportunities to automate strategies and apply algo-based execution to remove emotional bias from trading
  • Learn how to backtest and evaluate trading strategies to assess performance and improve decision-making before live deployment

What Will You Learn?

  • How to read price clearly and identify real market direction instead of relying on indicators

  • How to draw accurate support, resistance, and trendlines that work in live trading

  • How to time your entries on pullbacks and breakouts with better precision

  • How to place and trail stop-loss based on market structure to protect capital and profits

  • How to manage risk and position sizing so losses stay controlled

  • How to identify and avoid false breakouts and trade only high-probability setups

  • How to use pyramiding to maximize gains in winning trades

  • How to connect commodity movements and global cues with equity trades for better conviction

  • How to build a rule-based, repeatable trading process you can follow with discipline

What Will You Learn?

  • How to build consistency in trading with structured frameworks

  • How to identify high-probability setups using price action, momentum & sentiment

  • How to manage risk and capital allocation effectively

  • How to use global inter-market insights for better decision-making

  • How to strengthen your trader psychology and maintain discipline

  • How to transition from knowledge to independent profitable trading

Total Price: 118,000

Combo Price:94,400

94,400*incl. of Taxes

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