TJ
Hush now, wait..
TushJunior
About Credentials Journey Markets Performance Testimonials FAQ Contact 🔒 Investor Portal
About Credentials Journey Markets Performance FAQ Contact 🔒 Investor Portal
Independent Professional Trader · Est. 2022

TushJunior

Brian M. Nzomo — Nairobi, Kenya

Data-Driven. Systematically Sharp. Battle-Tested.

Economist and data analyst turned professional trader. Three years of meticulous refinement from binary markets through CFDs to multi-asset macro trading. Currently on evaluation phase across CFD and futures prop firms — no step skipped, no shortcut taken.

TJ
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Active · Evaluations
2022
Trading Since
3+
Years Refining
25+
Instruments
Evaluating with
The5ers ● Active
FTMO ◌ Planned
FundedNext ◌ Planned
Topstep ◌ Planned
Apex ◌ Planned
01 — About

Where Economics Meets Market Mastery

A professional background in economic analysis and data science applied with discipline to global financial markets.

I have gone through blood, sweat, and tears to refine this edge to where it is today. No step was skipped. No shortcut was taken.

My name is Brian M. Nzomo, known in trading circles as TushJunior. I hold a Bachelor's degree in Economics and Statistics from Zetech University — a foundation that shapes how I read markets, interpret data, and think about probability.

Trading was not a random venture — it was a natural extension of my economic training and data background. I began in 2022 on Deriv's synthetic index markets, then made a deliberate choice to rebuild from scratch with CFDs and futures.

I mastered technical analysis first, then fundamentals, then macro economics, then institutional order flow. Each layer was built carefully before the next was added. What exists now is not a strategy — it is a complete trading operation.

Bachelor of Science — Economics & Statistics
Zetech University · Nairobi, Kenya
Academic foundation in econometrics, statistical modelling, macroeconomic theory, and quantitative research. This degree actively informs how price movements, interest rate differentials, and supply-demand imbalances are interpreted daily.
Power BISPSSStata EpiDataR ProgrammingExcel / MS Office Data AnalysisEconometrics
01
Macro Foundation
Economic fundamentals establish directional bias before any chart is opened. Central bank policy, inflation dynamics, and geopolitical analysis inform the weekly outlook.
02
Institutional Confirmation
Futures order flow, options positioning, and CME market depth data verify that institutional capital aligns with the fundamental thesis before entry.
03
Technical Precision
Multi-timeframe analysis, pivot structure, and key Fibonacci levels provide entry timing. Technical analysis determines when — never what direction.
04
Minimum Four Confirmations
No trade is entered unless a minimum of four independent confirming conditions align. A single signal — however convincing — is never sufficient.
05
Absolute Risk Discipline
Maximum 1% risk per trade. Hard daily loss limits respected without exception. Capital protection is the primary objective — profits follow naturally.
02 — Credentials

Prop Firm Status

Current evaluation status and funded account progress — updated live from the admin panel whenever milestones are reached.

For Investors: Trade statements, payout certificates, evaluation dashboards, and TradeZella analytics reports are available upon execution of a mutual NDA.
03 — Performance

Track Record in Progress

Note: Performance statistics are tracked from the current evaluation phase and updated here as verified results accumulate.
Net Return
Building track record
All accounts combined
Tracking live
Win Rate
To be published
Closed trades tracked
Tracking live
Profit Factor
To be published
Gross P / Gross L
Tracking live
Max Drawdown
To be published
Peak-to-trough
Tracking live
Monthly P&L — 2025
Tracking...
JanFebMar AprMayJun JulAugSep OctNovDec
Full trade-by-trade statements · Payout certificates · TradeZella analytics — available under NDA
1%
Max Risk Per Trade
3%
Daily Loss Limit
4/6
Min Confluences
TradeZella
Analytics Platform
04 — Markets

What I Trade

Primary focus on major Forex pairs, Gold, and their CME futures equivalents — where macroeconomic data depth and institutional activity create the richest environment for edge.

🥇
Gold & Silver
XAUUSD (GC) · XAGUSD (SI)
Primary focus instrument. Safe-haven flows, US real interest rates, central bank accumulation, and dollar dynamics drive Gold. CME COMEX futures provide institutional order flow confirmation.
Primary FocusCME COMEX
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Forex Majors
EURUSD · GBPUSD · USDJPY · USDCHF · AUDUSD · NZDUSD · USDCAD
Traded with macro-fundamental bias. CME FX futures (6E, 6B, 6J, 6A, 6C, 6S, 6N) provide volume and order flow confirmation for every position.
Primary FocusCME FX
Forex Minors & Crosses
GBPJPY · EURJPY · GBPCHF · EURGBP · AUDJPY · AUDCAD
Cross-currency pairs traded on relative strength divergences. JPY crosses are particularly sensitive to safe-haven dynamics and BOJ policy shifts.
SelectiveRelative Value
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Energy
USOIL (CL) · Brent Crude (BZ)
WTI and Brent crude driven by OPEC+ policy, EIA inventory data, Middle East geopolitical risk, and global demand. Oil positions also inform CAD and risk-regime analysis.
Macro-DrivenGeopolitical
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Equity Indices
ES (SPX500) · NQ (NAS100) · YM (US30)
Primarily for risk regime determination. Options gamma exposure (GEX) on ES and NQ defines the volatility environment governing all other asset classes.
Risk RegimeCME E-mini
Secondary Focus — Clean Technical Conditions Only
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Volatility Indices
Vol 10 · Vol 25 · Vol 50 · Vol 75 · Vol 100
Deriv synthetic volatility indices. Traded only on clean, unambiguous technical setups. Macro analysis does not apply — pure price action and structure only.
Technical OnlyDeriv
🚀
Boom & Crash Indices
Boom 300/500/1000 · Crash 300/500/1000
Deriv spike indices with proprietary algorithmic strategies built in MQL5. Automated EA monitors all 12 pairs simultaneously. Engaged only on high-conviction technical signals.
AlgorithmicMQL5 EA
05 — Journey

No Step Skipped

A transparent account of the progression from economics student to funded professional trader. Credibility is built on the story, not just the results.

Academic Foundation · Before Trading
Economics, Statistics & Data Analysis
Built a rigorous academic foundation in economics and statistics at Zetech University, developing strong quantitative and analytical skills. Professional experience in data analysis — Power BI, SPSS, Stata, EpiData, and R. This period laid the intellectual groundwork for systematic market analysis — the ability to read data, identify patterns, and think probabilistically across large information sets.
BSc Economics & StatisticsZetech UniversityData AnalysisPower BI · SPSS · Stata · R
2022 · Entry Into Markets
Binary Options & Synthetic Indices — Pattern Recognition
Entered financial markets through Deriv's synthetic index products. Traded binary options while identifying repeatable patterns. Built and deployed automated bots that performed well. The experience was formative but revealed the limitations of the space — synthetic markets lack the rich macroeconomic data layer that makes edge truly sustainable.
Deriv PlatformBinary OptionsSynthetic IndicesAutomated Bots
2023 · Strategic Pivot
Leaving Binary — Mastering Technical Analysis in CFDs
Made a deliberate and complete transition out of the binary space. CFDs and futures offered real economic drivers, institutional order flow, and data depth. Began a deep, systematic study of technical analysis — genuine understanding of market structure, supply and demand zones, volume analysis, and multi-timeframe confluence. This phase was about building the technical foundation correctly, without rushing.
CFD TradingTechnical AnalysisMarket StructureForex Majors
2024 · Advanced Integration
Fundamentals, Macro Economics & Institutional Order Flow
Added a comprehensive fundamental analysis layer — central bank policy cycles, macroeconomic data interpretation, geopolitical risk analysis, and commodity-currency correlations. Extended into CME futures market analysis: footprint charts, cumulative delta, market profile, and options positioning. The economics background proved directly applicable — understanding yield differentials and inflation dynamics is the primary edge.
Fundamental AnalysisMacro EconomicsCME Futures DataOrder FlowOptions Positioning
2025 · Present · Active
Prop Firm Evaluations — Building the Verified Track Record
Entered the prop firm ecosystem with The5ers CFD evaluation active, FTMO, FundedNext, Topstep, and Apex planned for the months ahead. A proprietary AI-powered analysis system generates structured daily intelligence across 25+ instruments. The objective: a verifiable, auditable multi-year track record as the foundation for institutional capital management. No step skipped. No timeline rushed.
The5ers ActiveFTMO PlannedTopstep PlannedSystematic EdgeScaling Capital
07 — FAQ

Investor Questions

Are you currently funded or in evaluation? +
Currently in evaluation phase. The5ers CFD evaluation is active, with FTMO, FundedNext, Topstep, and Apex planned for the coming months. This is the deliberate, documented phase of building a verifiable track record — not a sprint to appear funded, but methodical progression through the prop firm ecosystem.
What is your educational background? +
I hold a BSc in Economics and Statistics from Zetech University, Nairobi. Prior to full-time trading I worked in data analysis with Power BI, SPSS, Stata, EpiData, and R. This background directly informs how I read macroeconomic data, interpret statistical probabilities, and build systematic trading processes.
Can you describe your approach without revealing your edge? +
The approach is macro-driven and systematic. Directional bias is established from fundamental economic and geopolitical analysis before any chart is reviewed. Multiple independent confirming conditions must align before any position is entered — a minimum of four. Technical analysis is used only for entry timing, never for directional bias.
Why consider you without a long track record yet? +
Because track record is what is being built right now, and the process is transparent. Three years of deliberate development, a rigorous academic and professional foundation, and the discipline to enter the prop firm ecosystem rather than taking unstructured investor capital before being ready — these signal someone who understands what long-term credibility requires.
Are you open to managing external capital? +
Yes, this is the medium-term objective. For forward-thinking investors interested in structured partnership arrangements — including capital protection structures — I welcome a confidential conversation. All enquiries handled under mutual NDA. Contact to discuss structure, terms, and timeline.
Does location in Kenya affect execution? +
Not at all. All trading is executed digitally through regulated prop firm platforms. East Africa Time (UTC+3) provides strong coverage of both the London and New York sessions — the two most liquid periods in global markets. Africa is producing serious traders. The edge is in the analysis and discipline, not the geography.
08 — Contact

Let's Connect

Partnership enquiries, investor conversations, and collaboration discussions welcome. Response within 24 hours.

📍
Location
Nairobi, Kenya · EAT (UTC+3)
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Basic $30/mo · Premium $75/mo
Automatically replicate every trade across Forex, Gold, Energy and Indices. Paid monthly in crypto.
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Investor Portal
NDA Required · By Invitation
Verified performance data, trade statements, payout certificates and monthly reports. For qualified investors only.
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Risk Disclosure: Trading foreign exchange, futures, CFDs, and other derivative instruments involves substantial risk of loss and is not appropriate for all investors. Past performance is not indicative of future results. This website does not constitute investment advice. TushJunior is the trading brand of Brian M. Nzomo, Nairobi, Kenya.

Currently Evaluating With
The5ers Active Evaluation
FTMO Planned 2025
FundedNext Planned 2025
Topstep Futures · Planned
Apex Futures · Planned