Course Curriculum
- 8 sections
- 47 lectures
- 8 hours, 55 minutes total length
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Introduction to the Course00:04:00
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Introduction to Risk Management00:02:00
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What is Risk Management?00:03:00
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Why Risk Management is So Important00:18:00
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Why You Have to Manage Your Risk00:18:00
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My Risk Management System00:12:00
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You Can’t Progress in Something That You Don’t Measure00:09:00
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Introduction00:02:00
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Trading on 2 different timeframes00:10:00
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How to add it to your screen00:05:00
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The rules that you have to follow00:15:00
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Let’s practice it00:30:00
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Results from the practice00:10:00
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Class project00:01:00
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Introduction00:04:00
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How to put it on your screen00:05:00
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The criteria needed00:19:00
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Entries, exits and stop losses practice00:24:00
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51% profits on the account in 6 weeks on 1 pair00:15:00
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Class project00:01:00
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Introduction00:03:00
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The setup00:09:00
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The Criteria00:14:00
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Practice00:30:00
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22 % profit on account in 30 trades00:14:00
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68 % Win Rate00:01:00
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Introduction00:03:00
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Why you have to be using multiple timeframes00:09:00
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Introduction to using Stochastic indicator with an EDGE00:08:00
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First strategy – How to set it up on your chart00:07:00
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First strategy – Criteria00:30:00
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First strategy – Practice00:20:00
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Second strategy – Criteria00:12:00
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Second strategy – Practice00:15:00
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Class project00:01:00
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Introduction00:03:00
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The first Scalping / Day trading strategy00:14:00
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Volatility is key00:08:00
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Practice of the First strategy00:17:00
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Second scalping / day trading strategy and how to set it up00:04:00
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Criteria for the second strategy00:04:00
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Backtesting the second strategy00:23:00
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Class project00:01:00
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How to Know When to Take Profits00:35:00
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Hull Moving Average00:06:00
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7 Habits Belief of Successful Traders00:17:00
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Momentum Play with Multiple Timeframes00:20:00