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ABOUT ME

Hi i am Jason an accomplished economist, institutional trader, and fund manager with nearly two decades of experience operating at the highest levels of global finance. Having held senior trading and investment management roles at leading financial institutions including HSBC and Investec, I bring extensive expertise across banking, hedge fund management, trading, and risk management.

My professional career has been built on combining deep macroeconomic insight with institutional-grade trading execution across forex, commodities, and equity markets. By integrating economic theory, fundamental research, technical precision, and sophisticated risk controls, I have developed a highly structured approach designed to navigate complex global markets with consistency and discipline.

My trading framework is centered around:

  • Macro-Driven Strategies: Leveraging central bank policy, GDP cycles, inflation trends, and geopolitical developments to identify high-conviction market opportunities.

  • Technical Precision: Applying clean, high-probability price action models and institutional charting techniques.

  • Fundamental Expertise: Interpreting key economic indicators such as CPI, PPI, NFP, and interest rate decisions to anticipate market-moving events.

  • Risk-First Execution: Advanced position sizing, volatility-adjusted planning, and disciplined capital preservation strategies.

  • Proprietary Institutional Methods: Utilizing liquidity gap scalping, momentum swing trading, and sophisticated hedging frameworks refined through years of hedge fund management experience.

Through my mentorship and coaching, I distill nearly 20 years of institutional trading experience into practical, actionable systems that help traders:

  • Avoid common retail trading pitfalls such as overtrading, emotional decision-making, and neglecting macro fundamentals.

  • Accelerate their development through institutional-level frameworks and professional market insights.

  • Adapt to evolving market conditions with dynamic, volatility-responsive strategies.

  • Focus on asymmetric risk-reward opportunities with disciplined 3:1+ trade structures.

  • Strengthen execution through personalized 1-on-1 coaching, live trade reviews, and performance diagnostics.

  • Build the psychological resilience required to manage drawdowns, maintain discipline, and perform consistently under pressure.

My mission is to bridge the gap between institutional finance and independent traders by providing elite-level market education, strategic mentorship, and proven trading methodologies that empower serious traders to operate with professional precision.

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