Course Curriculum
- 8 sections
- 16 lectures
- 00:00:00 total length
-
Introduction to the Course
00:04:00
-
Introduction to Risk Management
00:02:00 -
What is Risk Management?
00:03:00 -
Why Risk Management is So Important
00:18:00 -
Why You Have to Manage Your Risk
00:18:00 -
My Risk Management System
00:12:00 -
You Can’t Progress in Something That You Don’t Measure
00:09:00
-
Introduction
00:02:00 -
Trading on 2 different timeframes
00:10:00 -
How to add it to your screen
00:05:00 -
The rules that you have to follow
00:15:00 -
Let’s practice it
00:30:00 -
Results from the practice
00:10:00 -
Class project
00:01:00
-
Introduction
00:04:00 -
How to put it on your screen
00:05:00 -
The criteria needed
00:19:00 -
Entries, exits and stop losses practice
00:24:00 -
51% profits on the account in 6 weeks on 1 pair
00:15:00 -
Class project
00:01:00
-
Introduction
00:03:00 -
The setup
00:09:00 -
The Criteria
00:14:00 -
Practice
00:30:00 -
22 % profit on account in 30 trades
00:14:00 -
68 % Win Rate
00:01:00
-
Introduction
00:03:00 -
Why you have to be using multiple timeframes
00:09:00 -
Introduction to using Stochastic indicator with an EDGE
00:08:00 -
First strategy – How to set it up on your chart
00:07:00 -
First strategy – Criteria
00:30:00 -
First strategy – Practice
00:20:00 -
Second strategy – Criteria
00:12:00 -
Second strategy – Practice
00:15:00 -
Class project
00:01:00
-
Introduction
00:03:00 -
The first Scalping / Day trading strategy
00:14:00 -
Volatility is key
00:08:00 -
Practice of the First strategy
00:17:00 -
Second scalping / day trading strategy and how to set it up
00:04:00 -
Criteria for the second strategy
00:04:00 -
Backtesting the second strategy
00:23:00 -
Class project
00:01:00
-
How to Know When to Take Profits
00:35:00 -
Hull Moving Average
00:06:00 -
7 Habits Belief of Successful Traders
00:17:00 -
Momentum Play with Multiple Timeframes
00:20:00