Built on Real Market Experience

We started ByteOn CurrentX because traditional trading education felt disconnected from actual market realities. After years of institutional trading, we wanted to create something different — education rooted in practical experience rather than theoretical concepts.

From Trading Floors to Teaching

Back in 2018, both Henrik and I were working at different institutional firms in Seoul. We'd meet for coffee and always ended up discussing the same frustration — how disconnected most trading education was from what actually works in volatile markets.

The turning point came during the 2018 emerging market volatility. We watched retail traders get wiped out using strategies that looked good on paper but crumbled under real market pressure. That's when we decided to do something about it.

Early days of ByteOn CurrentX development in Seoul office

Expertise That Actually Matters

Our approach comes from years of making real trades with real money in unpredictable markets. We focus on what works consistently, not what sounds impressive in marketing materials.

Korean Market Dynamics

Deep understanding of KOSPI behavior, chaebol influence patterns, and regulatory impacts on trading strategies.

Risk-First Methodology

Every strategy starts with risk management. We teach position sizing and capital preservation before profit optimization.

Algorithmic Integration

Practical automation techniques that retail traders can actually implement without institutional-level technology.

Market Psychology

Understanding crowd behavior and sentiment shifts that drive price movements beyond technical patterns.

Henrik Jorgensen, Chief Trading Strategist at ByteOn CurrentX

Henrik Jorgensen

Chief Trading Strategist

12 years institutional trading experience. Specialized in quantitative analysis and algorithmic strategy development across Asian markets.

Dmitri Volkov, Risk Management Director at ByteOn CurrentX

Dmitri Volkov

Risk Management Director

Former derivatives trader with focus on portfolio optimization and risk modeling in emerging market environments.

How We Actually Teach Trading

Our methodology evolved from watching hundreds of students struggle with traditional approaches. We've refined it based on what actually produces consistent traders, not just confident ones.

Live trading session demonstrating real market analysis techniques Risk management tools and position sizing calculations
  • 1

    Market Reality First

    We start every lesson with actual market conditions. No perfect theoretical examples — just real charts, real volatility, and real decision-making pressure.

  • 2

    Risk Before Reward

    Every strategy discussion begins with "how much can you lose" rather than "how much can you make." We build defensive traders who survive long enough to become profitable.

  • 3

    Progressive Complexity

    We start with simple, robust strategies that work. Advanced techniques come later, after students prove they can manage basic positions consistently.

  • 4

    Continuous Adaptation

    Markets change, strategies evolve. We teach frameworks for adapting to new conditions rather than rigid rules that break during volatility.

Ready to Learn Real Trading?

Our next comprehensive program starts in September 2025. We focus on building genuine trading skills through practical market experience.

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