The Trading To Win course is a recording of a comprehensive, live two full day event that is designed to foster effective trading practices that ensure sustained profitability and long-term success! It includes essential trading fundamentals, advanced risk management techniques, intricate technical analysis, strategic options trading procedures, insightful market behavior explanations, and decisive decision-making processes and much more!!
Get the Trading To Win course for $2,495
This is the exciting content that you will find in the course:
Day 1 Outline
- Trading Risks and Fundamentals:
- Seriousness about trading risks and avoiding losses.
- Educating on trading fundamentals and avoiding common pitfalls.
- Understanding market dynamics and risk management.
- Differentiating luck and skill in trading outcomes.
- Importance of maintaining proper risk management.
- Understanding Trading Dynamics:
- Focus on understanding the game of trading.
- Discussion on common reasons for traders’ failures.
- Recent results in isolation are meaningless.
- Critical skill: Determining luck versus skill in trading outcomes.
- Position Sizing and Strategy Evaluation:
- Proper position sizing and risk management.
- Evaluating strategy effectiveness and trader performance.
- Subjective Trading and Market Conditions:
- Transitioning from non-subjective to subjective trading.
- Understanding market conditions before making subjective adjustments.
- Psychological aspects of trading and mental resilience.
- Technical Analysis and Market Behavior:
- Understanding SPX movement and patterns.
- Analysis of price patterns, support/resistance levels, and trends.
- Utilizing technical analysis to understand market rationality.
- Options Trading and Implied Volatility:
- Understanding implied volatility and its impact.
- Options trading influenced by emotional factors.
- Importance of aligning implied volatility expectations with technical patterns.
- Market Patterns and Trading Strategies:
- Identification of market patterns and potential reversals.
- Determining institutional involvement level in market movements.
- Adaptation of trading strategies based on market conditions.
- Risk Management and Strategy Modification:
- Position sizing, risk-reward ratios, and strategy adjustments.
- Utilizing flexibility in trading guidelines based on market conditions.
- Backtesting and education for improving trading skills.
Day 2 Outline
- Trading Strategies and Techniques
- Understanding market behavior and dynamics
- Practical options trading strategies
- Adapting to changing market conditions
- Risk management and position sizing
- Adjusting trades based on market movements
- Analyzing options strategies like condors, butterflies, and calendars
- Using implied volatility signals in trading decisions
- Evaluating risk-reward profiles and probability assessments
- Making adjustment modifications based on technical analysis
- Market Analysis and Decision-Making
- Analyzing technical indicators and chart patterns
- Understanding implied volatility and skew curves
- Assessing support and resistance levels
- Monitoring market sentiment and expectations
- Evaluating market direction and volatility dynamics
- Decision-making processes in trading
- Backtesting and simulating trade scenarios
- Managing risk and maximizing potential profits
- Considering market ranges and speed
- Trade Evaluation and Risk Management
- Evaluating trading strategies and outcomes
- Managing tail losses and drawdowns
- Adapting strategies to market conditions
- Assessing risk-reward ratios and probabilities
- Setting profit targets and managing stress
- Mapping out support and resistance levels
- Using options strategies to capitalize on market movements
- Understanding tail risks and probability distributions
- Responsible trading practices for long-term success
This is a further break down the videos in the course by chapters:
Video 1 – 2:10 Total time
- Chapter 1 – Fundamentals – 1 hour 15 minutes
- Chapter 2 – Trading Basics – 1 hour
Video 2 – 1:57 Total time
- Chapter 3 – Risk Awareness – 1 hour 17 minutes
- Chapter 4 – Strategy Development – 40 minutes
Video 3 – 2:08 Total time
- Chapter 5 – Market Analysis – 1 hour 42 minutes
- Chapter 6 – Sustainable Trading – 30 minutes
Video 4 – 1:45 Total time
- Chapter 7 – Foundational Topics – 34 minutes
- Chapter 8 – Technical Analysis – 10 minutes
- Chapter 9 – Trade Management – 1 hour
Video 5 – 2:00 Total time
- Chapter 10 – Trade Management – 2 hours
Video 6 – 1:25 Total time
- Chapter 11 – Technical Analysis & Trade Management – 1 hour 25 minutes
Video 7 – 1:31 Total time
- Chapter 12 – Audience Scenario – 1 hour 16 minutes
- Chapter 13 – Questions & Answers with Wrap Up – 15 minutes
***To get the most out of the content of this course students should have:
- An understanding of basic charting principles (support, resistance, trend, timeframe, moving averages and basic indications)
- Experience with reading, using, and interpreting analytical graphs
- An understanding of Options and Basic Greeks (Delta, Theta, Gamma, Vega)
- Experience with live trading basic complex options structures (verticals, butterflies, broken wing butterflies, condors, calendars, diagonals) (3+ months)