INSTANT DOWNLOAD!
Original price: $1,497.00
Our Price: $65.00 95% OFF Retail!
Full Course originally recorded live May 24th – June 9th 2022 (1.5GB).

Who This Course Is For
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Traders with any account size — from $5,000 up to $5 million.
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Those trading equities, futures, options, or forex.
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Traders looking for a simple, proven plan to identify, enter, and exit higher-probability pullback trades — avoiding costly mistakes like buying dips that turn into crashes.
Course Outline
Day 1: Building a Reliable Foundation
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10 Principles of Successful Trading
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Defining Your Edge with Market Pullbacks
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How to Survive Competitive Markets as a Part-Time Trader
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Understanding Evolving Markets
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Small Edges That Lead to Big Results
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Profiting When There Is No “Free Lunch”
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What Truly Matters in Trading
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Position Sizing Principles
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Training Your Psychology to Win
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Thinking About Probabilities
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The Secret to Long-Term Success
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What Makes a Good Pullback
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Anatomy of a Pullback
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Relationship Between Trends and Pullbacks
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How to Enter at Different Points in a Trend
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Examples of Bad Pullbacks
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5 Common Mistakes Traders Make with Pullbacks
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Finding the Sweet Spot to Enter — Avoiding Being Too Early or Too Late
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Proper Position Sizing to Control Risk
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When to Exit and How to Avoid Greed
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Pullbacks After Climaxes (Avoiding FOMO)
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Recognizing Failed Entry Attempts
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Market Opportunities from the Previous Day/Night Across All Markets and Timeframes
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Live Q&A
Day 2: Trends and Pullback Variations
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Understanding Trend Structure and Pullbacks
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Navigating Market “Impulse Waves”
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Impact of Momentum on Pullback Trades
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Clearing Up Misconceptions About Divergences
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How Trends Begin, Develop, and End — Why It Matters
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What Happens After a Pullback
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Real Examples of Winning and Losing Pullback Trades
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Current Market Opportunities & Examples
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Homework & Q&A
Day 3: Sizing and Trade Selection
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Principles and Thoughts on Position Sizing
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Key Trading Questions Answered
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Overview of Different Sizing Approaches
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Using Fixed Fractional Sizing
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Connecting Risk to Stop Location
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Debunking Myths About “Low Risk” Trades
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Managing Trades Using R (Risk)
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Reviewing Stop Location and Risk Relationship
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Choosing Initial Stop and Exit Points
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Finding the Best Pullbacks to Trade
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Applying What We’ve Learned in Practice
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Screening Stock Ideas
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Intraday Trading Triggers
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Homework & Q&A
Day 4: Entry Techniques and Using Options
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How to Use Options with Pullback Trades
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Understanding Tradeoffs and Opportunities
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Managing Time Decay in Options
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Vertical Spreads Explained
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Holding Period Considerations
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Moneyness and Its Impact
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Entry Techniques: “Go With” and “Countertrend” Entries
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Scaling Into Positions
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Using Indicators for Timing Entries
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Homework & Q&A
Day 5: Post-Trade Management
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Managing Winning and Losing Trades
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Initial Stop Location (Review)
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Initial Profit Target (Review)
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Trailing Stops vs. Full Exit
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Scaling Into and Out of Trades
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Moving from Paper Trading to Real Money
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Putting It All Together
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Review of Trades Since Course Start
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Q&A
Day 6: Final Recap and Wrap-Up
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Comprehensive Recap of Entire Training
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Final Q&A

