Risk Journal Mastery
Training on structuring a risk journal that captures setup quality, size rationale, emotional state, and post-trade lessons without drowning in noise.
Risk Journal Mastery reframes journaling as risk infrastructure. Instead of free-form notes, you learn fields that force clarity: why this size, why this stop, what invalidates the thesis. Across three evenings you build a template, score past trades, and extract patterns that charts alone never reveal.
What you will leave with
- Adopt a journal template built for risk fields, not just entries
- Score setups on risk quality before and after the trade
- Spot recurring size and stop mistakes from your own history
Pricing is informational. Seats are confirmed after we review your experience level and schedule. No online checkout.