James Brodie – Trading With Discipline

1. Introduction to the product/course

Trading With Discipline is a specialist trader‑development programme created by the learning and development division of a global liquidity provider, and led by experienced trader and educator James Brodie. The training is offered through the Flux Institute, the educational arm of Onyx Capital Group, and is geared toward helping participants build a structured, disciplined, consistent approach to trading financial markets. The course draws on Brodie’s front‑office trading experience across London, New York, Tokyo and Singapore, as well as his work delivering training programmes to institutions around the world.

The programme is designed to go beyond simple chart patterns or technical indicators and instead equips participants with a full mindset‑process toolkit: combining market fundamentals, behaviour and trading psychology, systematic process development, risk management and trade analytics. It is pitched as a rigorous training path for anyone serious about creating consistency in trading outcomes rather than relying on guesswork or impulse.

2. Goals of the product/course

The principal goals of the Trading With Discipline programme include:

  • Establishing a disciplined trading mindset. The course aims to move participants away from emotional, reactive trading toward a consistent, process‑driven trading style.
  • Mastery of professional‑grade trade frameworks. Rather than ad‑hoc trades or “gut decisions”, the goal is to learn a structured framework for market entry, exit, risk control and performance review.
  • Blending technical and behavioural insights. The curriculum seeks to integrate technical analysis (price structure, liquidity, flow) with behavioural finance (biases, emotional traps, decision‑making under stress) so that theory becomes usable in real trading situations.
  • Building consistent performance across markets. One of the goals is to make the training applicable across asset classes — commodities, equities, FX, derivatives — so participants can deploy a repeatable method regardless of underlying market.
  • Professionalising risk and trade management. The programme emphasises position sizing, stop loss discipline, drawdown control, journaling and trade review — shifting the focus from being “right” to managing risk and evolving over time.

3. Content Overview or Modules breakdown

The full syllabus is described as a comprehensive nine‑module programme (or a five‑day immersive course) which includes the following key components and topic areas:

  1. Introduction: Commodity & Energy Markets Fundamentals – Covers how commodity and energy markets work, key participants, exploration and extraction, pricing mechanisms and the link between physical and derivatives markets.
  2. What Drives Energy Prices? – Examines macro and micro drivers: supply‑demand models, geopolitical events, economic data, logistics constraints and how these factors feed into pricing dynamics.
  3. Trading Derivatives – Focuses on futures, swaps, options, volatility, liquidity and how derivatives markets differ from cash markets in terms of risk, leverage and participation.
  4. Technical Analysis, Risk Management & Predicting Market Behaviour – Introduces price‑action, support/resistance, trend structure, order flow, volume liquidity shifts plus risk frameworks and trade planning.
  5. Behavioural Finance & Trading Psychology – Looks at emotional triggers, cognitive biases, decision‑making under pressure, mental discipline, self‑awareness and trading mindset.
  6. Bond, Equity & FX Market Fundamentals – Extends the method into other asset classes, exploring how these markets are priced, inter‑market correlation and how to adapt the trading framework beyond commodities.
  7. Simulation & Practical Application via Trading Simulator – Participants engage with realistic market simulation tools (e.g., AmplifyME), practice setups, test entry/exit rules, apply risk controls and build muscle memory.
  8. Data Analytics & Back Testing with Tools like Python & ChatGPT – Introduction to using data‑driven tools for trade analytics, strategy refinement, back testing and performance review in modern markets.
  9. Case Studies, Exams & Digital Accreditation – Real‑world market examples, end‑of‑course examination, accreditation from a recognised financial training institution and group discussion to cement learning.

Each module integrates lectures, hands‑on exercises, real charts, simulation practice and peer/trainer interaction so that theoretical concepts are applied and reinforced through active learning.

4. Benefits of the product/course

Participants who complete the Trading With Discipline programme can expect a number of meaningful benefits:

  • Improved trading discipline and consistency. By internalising a structured process, traders are less likely to be swayed by emotion, noise or impulsive trades.
  • Clearer frameworks for execution. With defined entry/exit rules, risk controls and a trading plan, execution becomes more repeatable and measurable instead of ad‑hoc and reactive.
  • Heightened awareness of behavioural traps. Understanding how bias, fear, greed and external distractions influence trading decisions allows participants to build safeguards and trade with mental clarity.
  • Adaptability across market conditions and asset classes. Because the programme is asset‑class‑agnostic, participants gain tools to trade commodities, FX, equities, derivatives with the same underlying process and mindset.
  • Access to trainer expertise and professional‑grade content. With a lead trainer who has decades of live trading experience and institutional credentials, participants gain insight into how professional markets operate and how trading frameworks are built from experience rather than theory alone.
  • Practical hands‑on training with simulation and analytics. The inclusion of simulators, live case studies, data‑driven back testing and portfolio analytics helps move from theory to real application, reinforcing retention and skill development.
  • Better trade review and performance evolution. Through journaling, analytics and review built into the curriculum, participants are encouraged to continuously evolve, adapt and improve rather than stagnate after initial learning.

5. Target Audience for the product/course

The course is well suited for the following profiles:

  • Traders who already engage in the markets (commodities, FX, equities, derivatives) but struggle with inconsistency, risk control or impulsive decision‑making.
  • Junior analysts, trainee traders or market professionals looking to transition into independent trading roles and wanting a structured curriculum rather than piecemeal learning.
  • Experienced traders or professionals who have technical knowledge but wish to formalise their trading process, manage behavioural biases and build a disciplined framework for long‑term success.
  • Individuals interested in trading multiple asset classes and desiring a method that transfers across commodities, derivatives, FX, equities, and global market structures.
  • Professionals who are willing to commit time, energy and capital to a premium training programme and are ready for active participation, simulation, analytics and continuous improvement rather than a “quick fix” approach.

6. Conclusion with a summary

In conclusion, Trading With Discipline is a comprehensive, high‑quality trading development programme designed to shift participants from gut‑based or sporadic trading toward a disciplined, repeatable, professional approach. By combining market structure, technical analysis, behavioural finance, risk control, simulation and analytics, the curriculum addresses both the cognitive and operational sides of trading. Participants are guided to build a clear trading plan, execute with consistency, review performance intelligently and adapt as markets evolve.

This course is not targeted at casual hobbyists seeking quick shortcuts or “get‑rich‑fast” tactics. Instead, it is tailored for serious participants in the financial markets who recognise that trading success stems from mindset, process and continuous improvement. With strong trainer credentials and a curriculum designed to span multiple market conditions and asset classes, the programme offers value to those ready to invest in their skills, formalise their methodology and trade with enhanced clarity and control.

If the goal is to transition from irregular or emotionally driven trades toward a structured system backed by institutional insight and practical application, then Trading With Discipline represents a compelling option. With disciplined execution, defined risk controls and ongoing review built into the training, participants emerge better equipped to navigate complex markets, manage uncertainty and pursue consistent trading outcomes.

Click Here to Get James Brodie – Trading With Discipline