Vladimir Zernov is a highly experienced market analyst with over 18 years in the financial markets. Starting his career as a day trader at a proprietary trading firm in 2007, he transitioned to longer-term positional and swing trading strategies. Now an independent trader and analyst, Vladimir specializes in stocks, futures, forex, indices, and commodities, with a particular focus on gold and oil-related equities.
A recognized expert in the aforementioned instruments, Vladimir leverages his extensive knowledge to identify key trends and trading opportunities. With a deep understanding of the factors influencing these asset classes, he created trading strategies that combine both macroeconomic insights and technical indicators to make informed decisions.
Vladimir holds a Specialist Degree in Management from Tula State University, Russia, and is certified in securities management by FFMS, the local Russian regulator. Since March 2020, he has been a trusted FX Empire analyst, sharing his expertise with a global audience.