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