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Advanced and Institutional entries for 36 chapters

Continue from each Foundation node into a concrete research module and institutional project.

How to use this map

Each row gives two deeper tasks on the same node. Read Foundation first, complete Advanced research, then apply evidence to Institutional capital, execution, risk, or governance. Coverage of 36 chapters does not make a click proof of mastery.

Foundation chapterAdvanced module and taskInstitutional module and task
Chapter 1Compare post-fill prices across counterpartiesExplain institutional services and return sources
Chapter 2Separate price/flow information with visible clocksBound large-order leakage and impact
Chapter 3Compare distributions, extremes, candle compressionCompare price-weighted benchmarks and fills
Chapter 4Freeze momentum signals and reversal testsSubmit size and crowded-exit limits
Chapter 5Test whether clustered orders actually fillAssess entry/exit depth changes
Chapter 6Expand a card into a full Strategy ObjectConnect approval, execution, risk, attribution
Chapter 7Specify priors, likelihoods, update sensitivityCheck team calibration/effective samples
Chapter 8Estimate net expectancy and uncertaintyInclude costs/capital use in efficiency
Chapter 9Compare eight return shapes and tailsAllocate different win-rate strategies by common risk
Chapter 10Compare block-sampled and independent drawdownsReplay drawdown triggers, reductions, restarts
Chapter 11Compare volatility targets and fractional KellyCheck capital budgets against contributions
Chapter 12Define ruin floors and omitted mechanismsRehearse post-stop positions and approvals
Chapter 13Bound queue/adverse-selection estimatesCompare three methods on one parent
Chapter 14Change only size or depth to estimate costsRecalculate stress-exit capacity
Chapter 15Compare passive fills/adverse-selection lossesSeparate inventory, fees, execution attribution
Chapter 16Compare venues, fees, balances, routingHandle venue failures and unknown orders
Chapter 17Test Funding, Basis, financing separatelyCheck two-leg funds and margin stress
Chapter 18Delay and ablate liquidation signalsInclude cascades and exit capacity in paths
Chapter 19Complete eight mechanism counterevidence cardsIdentify five categories' shared risks
Chapter 20Preregister hypotheses, metrics, trialsRetain failures and promotion refusals
Chapter 21Use ablation and negative controlsSeparate decay, costs, data changes
Chapter 22Freeze transforms and ablate signalsDefine drift triggers, owners, disablement
Chapter 23Generate regimes from then-visible dataApprove regime-driven capital/risk changes
Chapter 24Design the most challenging refutation testRecord pause, downgrade, retirement
Chapter 25Inspect clocks and reproducible codeMake inputs/code/reports auditable
Chapter 26Rebuild universes and data vintagesRehearse Data Kill and revised-data recovery
Chapter 27Purge cross-boundary labels and draw WF splitsRegister attempts and lock final testing
Chapter 28Unify fees, slippage, financing definitionsLimit turnover by net edge and size
Chapter 29Compare parameter plateaus and isolated peaksSubmit promotion stress/scenarios
Chapter 30Compare Paper, Shadow, small-scale evidenceDefine deviation stops and rollbacks
Chapter 31Calculate tail quantiles/ES with limitsMap layered risk to deterministic actions
Chapter 32Recalculate correlation/risk parityApprove multi-strategy budgets
Chapter 33Compare TWAP, VWAP, POV, remaindersComplete common-benchmark TCA
Chapter 34Review bridges against independent ledgersAllocate/retire from attribution
Chapter 35Measure decision/execution biasesMake distinct review-cadence decisions
Chapter 36Evidence every research-to-production gateConnect committees, shutdown/restart authority

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