OptiNod Academy OptiNod Academy Page 4 of 9, covering all 162 articles.Leverage vs. Position Size — Multiplier Sets the Distance to Liquidation, Stop and Quantity Set Your 1RCross Margin vs. Isolated Margin — The Fork Where One Position's Liquidation Empties the Whole AccountLiquidation Price Math — Leverage Sets the Distance to Your Liquidation PriceFunding Carry — A Trade That Swaps Price Risk for Basis, Liquidation, and Execution RiskThe SMC Entry System — Count Only the Confluence Where Sweep, FVG, and Order Block Overlap at the Same PriceMartingale — A Betting Progression That Stacks Your Point of Ruin Into a Single Slot of the AccountScaling In (DCA) — The Lower Your Average, the More Total R You Can Lose at OnceGrid Trading — The Machine That Harvests Chop, and Why One Trend Takes It ApartThe Three Robustness Scores — How to Decide Which of Two Equal-Return Settings to TrustHolding a BTC Short — One Reason the Expected Value Is Negative Even in a Bear MarketTrend Efficiency — 69% of the 15-Minute Chart Is Chop, So the HTF Filter Comes FirstChaikin Money Flow (CMF): The Close’s Position Inside the Candle Shows the Money FlowMoney Flow Index (MFI) — When Volume Fails to Confirm PriceWilliams %R — Why an Indicator Based on Close Position Stays Pinned in Trending MarketsPivot Points: Intraday Consensus Levels Everyone Is WatchingDonchian Channel — Channel Width Shows Volatility, Breakouts Signal TrendsKeltner Channel — A Trend Channel With ATR-Based WidthAnchored VWAP — The Breakeven Line From a Group’s Average Entry PricePreviousPage 1Page 2Page 3Page 4Page 5Page 6Page 7Page 8Page 9Next