Market Overview
Derivatives intelligence across major exchanges
Top Perpetuals
View all →Stablecoin Supply
Details →Market Dominance
Funding Heatmap
Expand →Futures Overview
Perpetual contracts data, open interest, and positioning
Top Perpetuals by Volume
Long/Short Ratios
What This Means
Open Interest Distribution
Top 10 AssetsStablecoin Analytics
Supply, flows, and market share across chains
Top Stablecoins by Market Cap
Market Share
Why It Matters
Stablecoin Distribution by Chain
Top ChainsSupply History Chart
Historical supply trends available in membershipFunding Rates
Real-time funding rates across perpetual contracts
Funding Rate Heatmap
All Funding Rates
Understanding Funding
Trading Implications
- Overleveraged longs
- Potential long squeeze incoming
- Consider delta-neutral shorts
- Overleveraged shorts
- Potential short squeeze incoming
- Consider delta-neutral longs
Trading Calculators
Position sizing and risk management tools
Position Size
Risk / Reward
PnL Calculator
Liquidation Price
Risk Management Tips
Never risk more than 1-2% per trade
Only take trades with 1:2+ reward ratio
Use max 3-5x as a beginner
Position size based on stop distance
Platforms Directory
Curated exchanges, DEX, analytics, and tools
Derivatives (Perpetuals & Futures)
Perpetual DEX
Spot DEX
Derivatives & Funding Data
On-Chain Analytics
Prop Firms Directory
Looking for funded trading accounts? Check our dedicated prop firms comparison page.
* Links marked with ↗ may be affiliate links. We only recommend platforms we use and trust.
Liquidations
Real-time and 24h liquidation data across markets
Long vs Short Liquidations (24h)
Liquidations by Asset
Recent Large Liquidations
What This Means
Liquidation Activity (Last 24h)
Hourly breakdownEvents Calendar
Upcoming lives, AMAs, webinars, and workshops
Clearview Labs
Custom TradingView indicators developed in-house
Proprietary Indicators
Custom indicators developed by Clearview, available exclusively to members. Each includes TradingView source, documentation, and tutorials.
Loading indicators...
Admin Panel
Manage users, content, and settings
Manage Users
| User | Role | Joined | Actions | |
|---|---|---|---|---|
Loading users... | ||||
Manage Events
| Event | Date | Type | Status | Actions |
|---|---|---|---|---|
Loading events... | ||||
Manage Lessons
| Lesson | Module | Week | Status | Actions | |
|---|---|---|---|---|---|
Loading lessons... | |||||
Manage Research
| Post | Category | Status | Order | Actions | |
|---|---|---|---|---|---|
Loading research... | |||||
Manage Indicators
| Indicator | Version | Status | Order | Actions | |
|---|---|---|---|---|---|
Loading indicators... | |||||
Philosophical Foundations
Market philosophy, reflexivity, epistemology & professional setup
Philosophical Foundations
This foundational module establishes the conceptual framework that differentiates this program from conventional trading education. You'll understand markets as complex adaptive systems rather than predictable machines, grasp Soros' reflexivity theory, and build logical frameworks for decision making.
Markets as Complex Systems & Professional Setup
Conceptual framework + TradingView workspace configuration
Learning Objectives
- Understand markets as complex adaptive systems (not predictable machines)
- Identify reflexive loops in current cryptocurrency markets
- Complete professional TradingView workspace configuration
- Apply basic logical reasoning (modus ponens/tollens) to trading decisions
- Begin conscious market observation (not passive chart staring)
Key Concepts
Markets emerge from participant interactions. No central control. Self-organizing. Unpredictable in detail but patterned in structure.
Participant beliefs → actions → change reality → reinforce/contradict beliefs. Feedback loops that drive market movements.
24/7 markets, no circuit breakers, retail-dominated, social media amplification creates extreme feedback loops.
Modus ponens, avoiding post hoc fallacy. Build valid reasoning chains. Test premises, not just conclusions.
Materials
Homework & Deliverables
Epistemology & Probabilistic Thinking
What we can know, uncertainty management, and risk philosophy
Learning Objectives
- Understand epistemic humility in trading contexts
- Apply probabilistic thinking to market analysis
- Distinguish between risk and uncertainty
- Build foundation for position sizing logic
- Recognize cognitive biases that affect trading decisions
Key Concepts
Understanding the limits of what we can know. Markets are not fully predictable—trade accordingly.
Think in distributions, not point estimates. Every trade is a probability-weighted outcome.
Risk can be measured. Uncertainty cannot. Both must be managed differently.
Confirmation bias, anchoring, recency bias. Know your enemy to defeat it.
Unlock Full Course Access
Get access to all 10 weeks of content, PDF materials, video walkthroughs, templates, and live Q&A sessions.
Join Membership — $197/moMarket Structure Analysis
Dow Theory, multi-timeframe analysis, S/R & volume momentum
Market Structure Analysis
Learn to read market structure through modernized Dow Theory principles. Master multi-timeframe analysis, identify key support/resistance levels, and understand volume as the fuel behind price movements.
Dow Theory Modernized & Multi-Timeframe Analysis
Trend identification, market phases, timeframe alignment
Learning Objectives
- Apply Dow Theory principles to crypto markets
- Identify primary, secondary, and minor trends
- Master multi-timeframe analysis (HTF → LTF)
- Recognize accumulation and distribution phases
- Understand market cycle psychology
Key Concepts
Trends exist until proven otherwise. Higher highs/higher lows define uptrends. Price confirms everything.
HTF for direction, MTF for structure, LTF for entries. Alignment = higher probability trades.
Accumulation → Markup → Distribution → Markdown. Identify where we are in the cycle.
BOS (Break of Structure) vs CHoCH (Change of Character). Key signals for trend changes.
Support/Resistance & Volume Momentum
Key levels, volume analysis, momentum confirmation
Learning Objectives
- Identify high-probability support and resistance zones
- Understand volume as confirmation of moves
- Recognize volume divergences
- Apply volume profile concepts
- Combine structure with volume for entries
Key Concepts
Zones, not lines. Historical reactions matter. The more touches, the weaker the level.
Volume precedes price. Breakouts need volume. Low volume = weak moves.
POC (Point of Control), value areas, HVN/LVN. Where did most trading occur?
Price vs volume divergence signals exhaustion. Early warning for reversals.
Unlock Full Course Access
Get access to all 10 weeks of content, PDF materials, video walkthroughs, templates, and live Q&A sessions.
Join Membership — $197/moConfirmation Systems
Indicators, divergences, on-chain metrics & confluence
Confirmation Systems
Build a robust confirmation system using technical indicators, on-chain metrics, and macro context. Learn to identify confluence—multiple factors aligning to increase trade probability.
Indicators & Divergences
RSI, MACD, momentum indicators, divergence identification
Learning Objectives
- Understand indicators as derivatives of price (not predictors)
- Master RSI, MACD, and momentum oscillators
- Identify regular and hidden divergences
- Avoid indicator redundancy
- Build a minimal effective indicator set
Key Concepts
Indicators lag price. They confirm, not predict. Use them as confirmation, not signals.
Overbought/oversold is context-dependent. Range shifts in trends. Divergences matter more.
Regular divergence = reversal signal. Hidden divergence = continuation. Context is everything.
One trend indicator, one momentum, one volume. More is not better—it's noise.
Materials
On-Chain Metrics, Confluence & Macro
Blockchain data, multi-factor confluence, macro integration
Learning Objectives
- Read and interpret key on-chain metrics
- Understand exchange flows, whale movements
- Build a confluence system (3+ factors)
- Integrate macro context (DXY, rates, correlations)
- Create your confirmation checklist
Key Concepts
Exchange inflows/outflows, MVRV, SOPR, realized price. Blockchain as truth layer.
Structure + Volume + Indicator + On-chain. When 3+ align, probability increases significantly.
BTC correlates with risk assets. DXY, yields, and liquidity matter. Don't trade in a vacuum.
Price action > Volume > On-chain > Indicators. Weight factors appropriately.
Unlock Full Course Access
Get access to all 10 weeks of content, PDF materials, video walkthroughs, templates, and live Q&A sessions.
Join Membership — $197/moComplete Trading System
System development, position sizing, risk management & psychology
Complete Trading System
Integrate everything into a complete, personalized trading system. Master position sizing, portfolio construction, and the psychology required to execute consistently under pressure.
System Development & Position Sizing
Building your edge, Kelly criterion, position sizing models
Learning Objectives
- Define and document your trading edge
- Understand expectancy and win rate relationships
- Master position sizing (fixed %, Kelly, volatility-based)
- Build your complete trading plan document
- Create entry, exit, and management rules
Key Concepts
An edge is statistical, not mystical. It's the sum of your process. Document it or lose it.
The most important decision. Fixed % for consistency, Kelly for optimization, ATR for volatility.
E = (Win% × Avg Win) - (Loss% × Avg Loss). Positive expectancy + proper sizing = profit.
Rules for everything: when to trade, when not to, entries, exits, sizing. Written and followed.
Risk Management, Portfolio & Psychology
Portfolio construction, correlation management, mental game
Learning Objectives
- Implement multi-level risk management
- Understand correlation and portfolio heat
- Master the psychology of execution
- Develop emotional regulation techniques
- Build accountability systems
Key Concepts
Per-trade risk → Daily risk → Weekly risk → Total exposure. Multiple layers protect capital.
Crypto is highly correlated. 5 altcoin longs = 1 huge position. Manage portfolio heat.
Fear, greed, revenge, FOMO. Name it to tame it. Process over outcome.
Every trade documented. Review weekly. Patterns emerge. Improvement follows.
Unlock Full Course Access
Get access to all 10 weeks of content, PDF materials, video walkthroughs, templates, and live Q&A sessions.
Join Membership — $197/moOptimization & Planning
DeFi strategies, market neutral approaches & future planning
Optimization & Planning
Advanced strategies for capital optimization: DeFi yield generation, market-neutral approaches, airdrop farming, and building your long-term trading career plan.
DeFi Yield Strategies & Market Neutral
Yield optimization, delta-neutral strategies, funding arbitrage
Learning Objectives
- Understand DeFi yield sources and risks
- Implement delta-neutral strategies
- Capture funding rate arbitrage
- Assess smart contract risk
- Build sustainable yield portfolio
Key Concepts
Lending, LP fees, staking, points. Understand where yield comes from—if you can't explain it, don't farm it.
Long spot + short perp = zero directional exposure. Capture funding while staying neutral.
When funding is positive, shorts pay longs. Capture this with hedged positions.
Smart contract risk, oracle risk, IL, depegs. Yield is compensation for risk—know what you're taking.
Materials
Airdrop Farming & Future Planning
Airdrop strategies, continuous learning, career development
Learning Objectives
- Develop systematic airdrop farming approach
- Build continuous learning system
- Create 6-12 month trading plan
- Set measurable goals and milestones
- Design accountability structure
Key Concepts
Protocol usage → potential rewards. Track criteria, diversify protocols, manage sybil risk.
Markets evolve. Your edge decays. Build systems for ongoing education and adaptation.
Trading as business. Revenue targets, skill development, network building, optionality.
Solo trading is hard. Find your tribe. Share, learn, grow together.
You've Completed the Overview!
Ready to dive deep? Join the membership for full access to all materials, live sessions, and community.
Join Membership — $197/moDaily Notes
Daily market observations and trade ideas
Loading daily notes...
Weekly Reports
Comprehensive weekly market analysis
Loading weekly reports...
Deep Dives
In-depth research on specific topics and theses
Loading deep dives...
Trading Checklists
Pre-trade, risk management, and portfolio review templates
Pre-Trade Checklist
Complete before entering any position
Risk Management
Daily risk control verification
Weekly Portfolio Review
End of week analysis template
Mental State Check
Before trading session




















