More information : https://www.marketlifetrading.com/pullback
A three-week masterclass that teaches traders how to find, enter, and exit A+ market pullback setups Who it’s for Traders with any size account — whether it’s $5k or $5mm — who trade equities, futures, options, or forex Traders who want a simple, proven trading plan to find, enter, and exit higher probability pullbacks without getting caught buying a dip that turns into a crash.
Course outline:
Part 1: Building a reliable foundation 10 Principles of successful trading Defining your edge with Market Pullbacks
How To Survive Highly Competitive Markets even as a part-time trader The Evolving Markets Small Edges For Big Results How to profit when there is no “free lunch” What Matters In Trading Position Sizing Principles How To Train Your Psychology To Win How To Think About Probabilities
The Secret To Long Term Sustained Success What we’re looking for in good pullbacks The Anatomy of a Pullback How Trends and Pullbacks Relate How To Enter A Different Points In A Trend Examples of bad pullbacks 5 Mistakes traders make in pullbacks
The sweet spot to enter and avoid being too early or late Proper sizing for controlling risk When to exit and how to avoid holding too long (aka “greed”) Taking pullbacks after climaxes (FOMO) Ignoring failures on entry Current market opportunities from the day/night before. All markets and timeframes.
Live Q&A Day 2: Trends and pullback variations Trend structure and pullbacks How to navigate the “impulse waves” of the market How momentum impacts your pullback trades Misconceptions about divergences How trends begin and develop How trends end and why this matters What happens after a pullback? Examples of both winning and losing pullback trades Current market opportunities/examples Homework Q&A
Day 3: Sizing and trade selection Thoughts and principles for sizing A quick look at “the trading questions” Quick overview of different approaches to sizing How to use fixed fractional sizing The connection between risk and stop location The lies of the trading community on “low risk” Using R to manage trades Reviewing the connection between stop location and risk Choices for the initial stop Choices for exit Finding the best pullbacks Putting everything we’ve learned into operation Screening ideas for stocks Intraday triggers Homework Q&A