
Active positions in equities and options across intraday, swing, and positional timeframes. 100+ trades per year. This is the discipline that produces monthly cash flow.

Contrarian value positions in individual businesses — buying great companies when everyone else is afraid to. This is the discipline that compounds capital you already have.
My goal is to provide you with all the information I wish I had when I first started.
I spent $200,000+ on specialized education in the Markets. 1000s of hours spent looking at charts.
$80,000 lost before I had a system...
I want to help you avoid the mistakes I made. Everything I learned the slow way, delivered fast.
13+ Years Active in the Markets
500+ Executed Trades per Year
UofA and Columbia Business School
Executive Education at Harvard
Mentored by some of the best globally

Statistical & Mathematical
Every decision comes down to numbers: expectancy, position sizing, probability, and what the math says about holding versus cutting. Not intuition, not conviction, not a feeling about the chart.
Institutional Method
The structure, risk management, and position sizing professionals use, taught for people managing their own capital.
Process Over Prediction
I don't teach forecasting. I teach a decision framework you can apply in the markets, in order to be consistently profitable.
Built From Real Execution
Everything I teach comes out of trades I've placed and positions I hold — not theory, and not someone else's material repackaged.

Free guide on 2 ways to make money in the markets.

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