Overview
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Master advanced technical analysis and transform the way you trade financial markets. Learn how to identify high-probability setups, validate signals, and execute strategies with confidence.
This Specialization provides a comprehensive, practical approach to trading by combining chart patterns, gap analysis, momentum indicators, volume signals, options volatility, and Elliott Wave theory. You will learn how to interpret market structure, confirm trends, and improve timing using tools like RSI, MACD, OBV, and Ichimoku Cloud.
Through real-market applications, you will develop the ability to analyze breakouts, reversals, and trend continuation with greater accuracy while avoiding common trading mistakes. The program also introduces options pricing, VIX analysis, and volatility-based strategies to help you understand market sentiment and derivative behavior.
By the end of this Specialization, you will have a structured, rule-based trading framework that integrates technical indicators, price action, and risk management—enabling you to make more informed, disciplined, and consistent trading decisions.
Syllabus
- Course 1: Trade Chart Patterns: Flags, Triangles & Ranges
- Course 2: Master Gap Trading: Breakouts & Reversals
- Course 3: Technical Analysis: Momentum & Volume Signals
- Course 4: Momentum Indicators for Trend Confirmation
- Course 5: Options Trading: Volatility, VIX & Market Signals
- Course 6: Advanced Elliott Wave Trading Strategies
Courses
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Master price gap analysis and improve your trading decisions using structured technical strategies. Learn how to identify gap patterns, confirm trends, and trade breakouts with confidence. This course provides a practical approach to understanding price gaps in financial markets. You will learn how gap-up and gap-down formations occur and how to classify them into common, breakaway, continuation, and exhaustion gaps. Through real-market insights, you will explore how volume, volatility, and candlestick confirmation improve the reliability of gap signals. The course also introduces midpoint projection techniques to estimate trend targets and identify potential reversal zones. By integrating price action, volume analysis, and candlestick frameworks, you will develop a structured approach to interpreting market behavior and improving trade accuracy. By the end of the course, you will be able to confidently analyze price gaps, identify high-probability trading opportunities, and apply disciplined strategies in real-world markets. Ideal for traders and beginners, this course equips you with practical skills to enhance technical analysis and build a consistent trading approach.
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Master momentum indicators and improve your trading decisions with structured technical analysis. Learn how to use RSI, MACD, and volume indicators to identify trends, confirm breakouts, and detect reversals. This course provides a practical, step-by-step approach to understanding momentum in financial markets. You will learn how to interpret key indicators such as RSI, MACD, and Stochastic Oscillator, and apply them in different market conditions. Through real-world strategies, you will explore divergence patterns, moving average techniques, and momentum-based signals to improve trade timing and reduce false entries. The course also integrates volume-based indicators like the Money Flow Index (MFI) and Accumulation/Distribution to confirm trend strength and identify hidden market activity. By combining momentum, trend-following, and volume analysis, you will develop a structured trading approach that enhances accuracy and confidence. By the end of the course, you will be able to analyze market momentum, validate trading signals, and apply disciplined strategies for consistent trading performance. Ideal for traders and beginners, this course equips you with practical skills to strengthen technical analysis and make smarter trading decisions.
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Master continuation chart patterns and improve your trading decisions with structured technical analysis. Learn how to identify high-probability setups and trade breakouts with confidence. This course provides a practical, step-by-step approach to understanding continuation patterns such as Rectangles, Triangles, Flags, and Pennants. You will learn how to analyze consolidation phases, identify breakout opportunities, and validate trades using volume and price action. Through real-market examples, you will understand the psychology behind these patterns, including how supply and demand dynamics drive continuation moves. The course also focuses on avoiding false breakouts, measuring price targets, and applying disciplined risk management strategies. By the end of the course, you will be able to confidently identify and trade continuation patterns across different market conditions and timeframes. Ideal for traders and beginners, this course equips you with practical skills to enhance technical analysis, improve trade accuracy, and build a consistent trading strategy.
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Master advanced Elliott Wave strategies and improve your trading decisions with structured market analysis. Learn how to interpret complex wave patterns, apply Fibonacci tools, and execute high-probability trades with confidence. This course provides a comprehensive approach to Elliott Wave Theory, guiding you from foundational concepts to advanced market structure analysis. You will learn how to identify impulse and corrective waves, evaluate wave extensions, and interpret diagonal formations in real market conditions. Through practical applications, you will apply Fibonacci retracement and extension tools to forecast price targets and improve analytical accuracy. The course also covers advanced corrective structures, helping you navigate complex market phases with confidence. By integrating wave analysis with risk management and trading psychology, you will develop a disciplined approach to market participation. You will learn how to define invalidation levels, assess trend maturity, and execute trades with precision. By the end of this course, you will be able to confidently analyze market structures, identify high-probability opportunities, and apply advanced trading strategies for consistent performance.
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Master momentum indicators and confirm market trends using advanced technical analysis tools. Learn how to combine volume, momentum, and trend systems for more accurate trading decisions. This course provides a structured approach to using momentum indicators for trend confirmation. You will learn how to interpret Chaikin Money Flow (CMF) to analyze buying and selling pressure, apply Ichimoku Cloud to identify trend direction and support/resistance levels, and use On Balance Volume (OBV) to confirm accumulation and distribution. Through real chart examples, you will explore divergence patterns, crossover signals, and multi-timeframe analysis techniques to improve trade accuracy and reduce false signals. The course emphasizes disciplined entry and exit strategies using combined indicator frameworks. By integrating volume psychology with structured trend analysis, you will develop a reliable approach to confirming market trends and making better trading decisions. By the end of the course, you will be able to confidently apply momentum indicators to enhance technical analysis, improve timing, and build a consistent trading strategy.
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Master options volatility and trading strategies to analyze pricing, interpret market sentiment, and make informed derivatives decisions. Learn how volatility, time decay, and demand-supply dynamics impact option premiums in real markets. This course provides a structured approach to understanding options trading, starting with volatility fundamentals and progressing to advanced pricing and sentiment analysis. You will learn how to apply Put–Call Parity, construct synthetic positions, and evaluate theoretical versus market prices. Through practical insights, you will analyze implied volatility, understand time decay effects, and interpret how option premiums react to changing market conditions. The course also covers VIX as a forward-looking volatility indicator and open interest analysis to confirm trend strength and market participation. By integrating pricing models, volatility behavior, and market psychology, you will develop a comprehensive framework for evaluating options opportunities and identifying arbitrage conditions. By the end of the course, you will be able to confidently analyze options markets, interpret volatility signals, and apply structured trading strategies for better decision-making.
Taught by
EDUCBA