
Presenting 2-1/2 hours dedicated exclusively to the ever present need to Maximize Profits and Minimize Losses. Illustrating logical, sensible, simple and intelligent methods to minimize risk and to maximize profits in short-term, intermediate-term and long-term trading in futures, Forex and stocks. Highly specific, logical and rational strategies designed to work with virtually any trading approach.
Here is a list of what I'll teach in this important Webinar:• How to find the right stop loss for every trade 
• Knowing how much risk is too much risk for your account 
• How to maximize profits & How to minimize losses 
• Five (5) Specific profit maximizing strategies 
• How and when to use the parabolic trailing stop procedure 
• When to trade large positions or small positions 
• When, why and how to protect profits with options 
• How to avoid over-weighting in a given sector or sectors 
• Are LEAPS (long-term options) your best bet for weekly signals? 
• Using the 10-day ATR as a guide to risk and reward 
• Effective use of ETF's: when, where and why? 
• Catching the big moves with multiple positions 
• Specific guidelines for the new trader 
• How to choose the best of several alternatives 
• What markets to trade, what markets to avoid and why 
• Finding and trading "trendy" markets and more!