Learn the reasons
Understand the underlying reasons behind market moves and setups rather than just looking at charts.
Leadership selection, precise entries, and disciplined process.
Mark Minervini's public material centers on finding strength, waiting for alignment, executing precisely, and reviewing trades through a repeatable process.
Understand the underlying reasons behind market moves and setups rather than just looking at charts.
Understand not just what to do but why — the underlying logic behind setups and decisions is emphasized over blind copying.
Studying directly under proven experts accelerates skill acquisition and deepens understanding.
Over many independent trials, outcomes will converge towards expected probabilities, reducing variance of average result.
Paying tuition and committing resources to high-quality coaching accelerates learning and long-term trading capability.
Treat stock selection, market timing, risk management, journaling, and education as a single operating system.
Viewing disparate trading skills as connected parts of one system rather than separate competencies.
Teaching is practical enough that students can go home and apply lessons right away.
Illustrates how multiple smaller gains compounded can rival or exceed a single large gain
Connects win rate (around 50%) with the need to manage gain capture and loss containment to create an edge.
Attendee praising the Master Trader Program relative to other events
Repeat favorable bets often to compound the edge; more iterations of a positive expectancy improve returns.
If you have a positive expectancy, increase the number of independent opportunities to realize that edge over time.
Profitability depends on average reward relative to risk combined with win rate, not solely on being right more than wrong.
Average profit per trade computed from win rate and win/loss sizes; positive expectancy yields long-term profit.
Clear, detailed risk-management guidance is central and can be transformative for traders.
Trying to buy absolute lows or capture peaks is unnecessary, rarely possible, and not the optimal focus for traders.
Use rules and position sizing to control risk and protect capital.
Open an FCPO account with a CGS remisier — special margin, support, and access to the analysis dashboard. Leave your WhatsApp and we'll help you directly.
Education & analysis only, not investment advice. Leveraged futures trading is high-risk — you can lose more than your capital. Past performance is not a guarantee of future results.
Amaran Risiko: Dagangan niaga hadapan (futures) melibatkan risiko kerugian yang tinggi dan tidak sesuai untuk semua pelabur. Kerugian boleh melebihi deposit margin asal anda. Prestasi lampau bukan jaminan prestasi masa hadapan. Kandungan di laman ini adalah untuk tujuan pendidikan dan maklumat sahaja, dan bukan nasihat pelaburan. Pastikan anda memahami sepenuhnya risiko yang terlibat sebelum berdagang, dan dapatkan nasihat profesional jika perlu.