Pullback Masterclass

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

  • 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

Day 4: Entry techniques and using options

  • Using options with pullbacks

    • Tradeoffs and opportunities

    • Managing time decay

      • Verticals

      • Holding period

      • Moneyness

  • Entry techniques

    • "Go with" entries

    • "Countertrend entries"

    • Scaling in

    • Using indicators to help time entries

  • Homework

  • Q&A

Day 5: What happens after a pullback trade & management

  • Trade management

    • Two broad categories: winning and losing trades

    • Initial stop location (mostly already covered)

    • Initial profit target location (also mostly review)

    • Trailing stops vs “all-out”

    • Scaling in

  • Going from paper to real money

  • Putting it all together

  • Review of trades that set up and happened since the start of the course

  • Q&A

Day 6: Putting it all together

  • Recap of all the training

  • Live Q&A

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