Antonis Kazoulis — University of Westminster, London: With over a decade working inside the trading industry, helping retail investors navigate the complexities of CFDs, forex, and cryptocurrency. Rather than just reporting on the markets, he has worked directly with major regulated brokers, including BDSwiss, PrimeXBT, and EverFX, to decode how financial products actually work.
His expertise lies in stripping away the jargon from technical analysis and margin trading. With a background in Business Management from the University of Westminster, Antonis combines academic financial discipline with real-world trading floor experience. He specializes in risk management education, helping traders understand the mechanics of leverage and market volatility in a compliant, transparent way.
Currently
Senior Market Analyst
Resides in
Limassol, CY
Education
University of Westminster — Business Management
Expertise
CFDs, Forex, Cryptocurrency, Technical Analysis, Margin Trading, Risk Management
Latest from Antonis Kazoulis
Trump Cuts Metal Import Tariffs, Easing Cost Pressure on U.S. Manufacturers
Mixed outcome for metals complex. While headline relief is positive for industrial users and downstream sectors, domestic producers face margin compression as foreign supply enters the U.S. market more competitively. Bra…
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→Bitcoin's 7.5% Weekly Drop Has One Uncomfortable Catalyst: Strategy Reports Bitcoin Sale
Bitcoin faces headwinds from Strategy's unexpected BTC sale, negative ETF flows, and macro uncertainty around geopolitical tensions and equity market pullback. The loss of a structural buyer narrative combined with lack …
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→Calculating Position Size: A Guide to Lot Sizes
The foreign exchange market operates on a scale that is difficult to fully comprehend. It is an environment where trillions of dollars change hands every single day.
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→The 1% Rule: Why Professional Traders Never Bet the House
To ensure longevity, professionals rely on strict mathematical frameworks rather than intuition or emotional conviction. At the very core of these frameworks lies a fundamental concept widely known as the 1%-risk rule.
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→Moving Averages: How to Spot the "Golden Cross"
This article explores the foundation of moving averages, details how this famous crossover occurs, and examines the inherent limitations of relying on historical price data to evaluate dynamic financial markets.
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→Technical Analysis 101: The Essential Toolkit for 2026
Technical analysis is not a predictive science that guarantees future outcomes. It is a strict discipline of probability management.
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