Where capital actually moves — and how to read it
"Most people watch prices. This program teaches you to watch the forces behind them."
What the program actually covers
Eight weeks of structured study built around real market behavior — sector rotation, macro signals, and the mechanics of institutional positioning.
Foundations of Investment Trends
Designed for people who have some familiarity with financial markets but haven't studied trend analysis systematically. You'll build a working mental model of how capital flows between sectors and why timing matters more than most assume.
- Macro trend identification
- Sector rotation fundamentals
- Reading institutional signals
- Weekly graded quizzes
- Access to recorded sessions
Applied Trend Analysis in Practice
For participants who already understand market structure and want to go deeper into quantitative signals, multi-asset trend dynamics, and scenario-based decision frameworks. Includes a capstone assignment reviewed by the instructor team.
- Everything in Standard
- Quantitative signal analysis
- Multi-asset correlation study
- Scenario-based assignments
- Capstone with instructor feedback
- Priority access to live sessions
How trends form — and why they persist longer than expected
Behavioral and structural reasons capital stays concentrated in certain areas even after fundamentals shift.
Macro signals that precede sector moves
Yield curve behavior, credit spreads, and central bank positioning as leading indicators of capital rotation.
Reading institutional positioning without guessing
What public data actually reveals about large-scale allocation decisions and how to interpret it without overfitting.
When trends break — identifying the inflection point
Historical case studies from three distinct market cycles showing what changed first and what lagged by weeks or months.