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Markets, risk and position sizing

Risk first. Returns are the consequence.

A structured curriculum in reading statements, sizing positions and surviving drawdowns.

5,773+students4.8across 441 reviews14countries

5,700+

Students

14

Countries

4.8★

Average rating

What makes this different

No signals, ever

We teach a process. Anyone selling you entries is selling you something else.

Journalling from week one

The habit that separates the people who last from the people who don't.

Drawdown practicum

You will be walked through losing periods before you meet one alone.

Students

“The risk module cost me nothing and saved me a great deal.”

Peter H.

Retail trader

“Finally understood what I had been reciting in interviews.”

Amara O.

Analyst

Straight answers

Will this make me profitable?

No course can promise that, and one that does should worry you. It will make you systematic.

Do I need capital to start?

No. The first eight weeks are paper only, deliberately.

Is there a refund?

Full refund within 7 days.

The next cohort starts in March.

Reserve a seat