Technical Analysis and Risk Management for Crypto Traders
Course Description
The crypto market never sleeps — and without a disciplined approach to technical analysis and risk management, even the most promising trades can turn into painful losses. Price movements in crypto are fast, volatile, and often driven by forces that raw intuition simply cannot keep up with. If you have ever felt unsure about when to enter a position, how to size it correctly, or where to place your stop loss, this course is designed to give you clarity and confidence. Throughout the course, you will build a solid foundation in reading charts like a professional trader. You will learn how to interpret candlestick patterns, apply key indicators such as moving averages, RSI, and MACD, identify support and resistance zones, and use these signals to spot high-probability entry and exit points. Beyond analysis, you will dive deep into the risk management side of trading — position sizing, risk-to-reward ratios, stop loss strategies, portfolio diversification, and the psychological discipline required to survive drawdowns. Each lesson combines conceptual explanation with practical exercises so you can apply what you learn immediately. This course is ideal for beginners who already understand basic crypto concepts and want to trade with structure rather than emotion, as well as intermediate traders looking to tighten their strategy and reduce unnecessary losses. No advanced mathematics or prior trading experience is required — everything is taught step by step from the ground up. Stop guessing and start trading with a plan. Enroll today and build the skills that separate consistent traders from the rest.
Course Curriculum
Explore the detailed curriculum of this course below.
- Lesson 1: Foundations of Technical Analysis in Crypto
- Lesson 2: Reading Candlestick Patterns and Chart Structures
- Lesson 3: Key Indicators — Moving Averages, RSI, and MACD
- Lesson 4: Support, Resistance, and Trend Identification
- Lesson 5: Risk Management — Position Sizing, Stop Loss, and Risk-Reward
- Lesson 6: Building a Complete Trading Plan and Backtesting It

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