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You are about to discover why most penny stock traders lose money while a small group consistently profits from the same volatile markets, and more importantly, how to join the winning side using two simple technical indicators that filter chaos into clarity. The average trader approaches penny stocks with hope and hype, chasing rumors and tips while ignoring the mathematical signals that predict reversals and momentum shifts. They risk too much, exit too early or too late, and repeat the same emotional mistakes until their accounts are depleted. Meanwhile, disciplined traders using RSI and…mehr

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Produktbeschreibung
You are about to discover why most penny stock traders lose money while a small group consistently profits from the same volatile markets, and more importantly, how to join the winning side using two simple technical indicators that filter chaos into clarity. The average trader approaches penny stocks with hope and hype, chasing rumors and tips while ignoring the mathematical signals that predict reversals and momentum shifts. They risk too much, exit too early or too late, and repeat the same emotional mistakes until their accounts are depleted. Meanwhile, disciplined traders using RSI and MACD are systematically identifying oversold reversals and overbought exhaustion, entering with defined risk, and extracting consistent gains from the explosive moves that define penny stock trading.

The problems facing penny stock traders are predictable and solvable. You need a way to separate legitimate setups from noise in a market filled with manipulation and false signals. You need precise entry and exit rules that remove guesswork and emotion from your decisions. You need position sizing formulas that protect your capital during inevitable losing streaks while maximizing gains during winning streaks. You need a systematic approach to scanning, analyzing, entering, managing, and exiting trades that works regardless of market conditions or individual stock stories. Without these elements, you are gambling, not trading.

This workbook solves every one of these problems through a complete RSI and MACD trading system built specifically for the penny stock environment. You will learn exactly how to identify high-probability setups where momentum indicators align with trend confirmation, creating confluence zones that dramatically improve your win rate. You will master position sizing calculations that limit risk to two percent per trade while scaling positions appropriately for volatility. You will develop pre-market scanning routines that surface the best opportunities each day, entry techniques that optimize your risk-reward ratio, and exit strategies that capture profits while cutting losses quickly. Most importantly, you will receive a ninety-day implementation plan that takes you from complete beginner to confident practitioner through structured paper trading, small live positions, and systematic scaling.

Stop hoping for the next big winner and start systematically trading technical setups that repeat daily in penny stocks. This workbook gives you the complete blueprint: the indicators, the entry rules, the position sizing formulas, the exit strategies, the psychological framework, and the step-by-step implementation plan. Everything you need is here. The only question is whether you will take action. Get your copy now and begin your transformation from emotional gambler to disciplined technical trader who profits consistently from penny stock volatility.


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Autorenporträt
Aaron Lee Johnson is a professional financial writer and trading strategist who demystifies complex market concepts for individual investors and traders. With expertise spanning options strategies, technical analysis, quantitative finance, and passive investing, Aaron has authored numerous comprehensive guides that empower readers to take control of their financial futures.

His books combine rigorous analysis with practical, actionable strategiescovering everything from combining technical indicators like MACD and Bollinger Bands to building resilient portfolios through smart beta and factor-based investing. Aaron's systematic approach to financial education has helped thousands of readers move from theory to confident implementation.

Beyond finance, Aaron brings a unique perspective shaped by his background in entertainment. As a former actor and comedian, he understands how to communicate complex ideas with clarity and engagement. This multidisciplinary expertise allows him to create content that's not only technically sound but genuinely accessible to readers at all levels.

When he's not analyzing market patterns or writing his next guide, Aaron enjoys chess at an advanced level and exploring the intersection of AI, automation, and entrepreneurship. He's passionate about helping others build multiple income streams and achieve financial independence through proven, practical strategies.

Connect with Aaron to stay updated on his latest releases and trading insights.