Stanislav BernukhovTrader and Personal Mentor
Trader, Asset Manager, Financial Markets Expert
Professional in financial markets with over 20 years of experience. I trade derivatives — futures, options, CFDs on indices, commodities, equities, and crypto. My approach combines technical analysis, statistical methods, and deep understanding of macro narratives.
Growth in trading is a long journey, but nothing is impossible: if you're starting or continuing your path in financial markets, I'll help you overcome challenges and get on a growth trajectory.

Media Publications
Podcasts & Video
Trading Talks: AI Indicators, and the Tools I Actually Keep Using
YouTube·podcast
Trading Talks: I Had the Perfect Oil Trade… Then This Headline Dropped
YouTube·podcast
Trading Talks: The Trading Rules I Wish I Followed Sooner
YouTube·podcast
How to use Fedwatchtool™ of CME for trading
YouTube·video
Market is crashing What to do
YouTube·video
Core Expertise
Macro analysis and market narratives
Statistical models and quantitative edge
Intraday and medium-term trading strategies
Risk management and capital protection
Liquidity and volume analysis
Trading psychology and discipline development
Client Reviews
«I now have a system, and most importantly — clarity on when to enter and what to do next. For me, the hard part wasn't taking risk or getting in — it was getting in correctly. Your methodology helped me separate good trades from bad ones. The stepped exit model was a breakthrough too — I'd never thought about it before. I've adapted it to my trading style and risk tolerance, and I'm still fine-tuning trade parameters.»
Maxim
Trader
Trading Coaching & Education
My 1-on-1 coaching program is built for experienced traders — not absolute beginners. If you already have a foundation in futures, CFDs, or options and want to refine your process, I help you combine macro narratives with statistical edge and professional risk management.
The goal is a repeatable, institutional-grade workflow: clear thesis, defined risk, and the psychology to execute at scale without emotional drift.
What the program covers:
Personalized Strategy Development
Macro-driven edge combined with statistical models tailored to your market, timeframe, and risk profile.
Risk Management & Psychology
Professional position sizing, drawdown protocols, and mental frameworks for scaling without emotional drift.
Institutional Transition
For experienced traders moving from discretionary retail to systematic, institutional-level execution.
Ideal candidate: 3+ years of active trading, familiar with derivatives or index futures, committed to systematic improvement.
Contact Me for Opportunities
Message me on Telegram to discuss coaching and collaboration — I'll reply personally.
@bernuhov