
•Understand Gartley Pattern Psychology ?
•How to identify this pattern with Golden Ratio?
•Trade setup and Risk Management ?
•How to identify low and high probability setup
•Calculate proper lot size for Money Management ?
•Trade recovery and Trade management Examples
bearish Gartley pattern completion at point d is explained, anticipating a down move, using x to a retracements and ab=cd validations, with practical trade setup and risk levels.
Identify and trade a bullish Gartley: wait for point D completion, apply Fibonacci retracements (61.8%, 78.6%, 76%), and manage risk with disciplined two-to-one rewards using live examples.
Master the gartley with precision to spot reversals, using 0.618 retracements and zone entries with stops. Identify high-probability setups via leg breaks and three bounces, adapting when proven wrong.
Follow live Gartley trade calls, learn pattern completion, and master trade management as euro and other pairs move hundreds of pips.
Explore risk management as a factor of success, limiting exposure by trading two pairs for six months and risking 1 percent of equity per trade, expanding with lot size.
How to define Risk.
What is recommended market exposure per trade
How to calculate Risk based upon Money Management Strategy
What is stop loss
How to calculate stop loss
How to combine pip value, risking pips and equity to calculate Lot Size
Practice a short trade on GBP USD using a break of swing low, a stop at swing high, and a 3% target, sizing to risk 1% on a 1,000-pound account.
Practice a long trade on the Aussie dollar using a harmonic pattern, detailing the entry and 14-pip stop, with 1% risk and micro account lot sizing using GBP/AUD conversion.
Discover money management for forex trading: split your balance into margins and trading funds, invest 1% per trade with a 1:5 risk-to-reward, aiming 100 percent across 100 trades.
Explore the weekly forex market review of GBP USD, EUR USD, and USD JPY patterns across hard and lower timeframes, featuring stop-loss breakeven moves, 3% gains, and risk-reward discipline.
Review real-time forex patterns with precise entry points and stop-loss, assess winning and losing trades, target 12–20% moves, and build psychological discipline for consistent gains across major pairs.
Course About
This course is about trading in financial markets with Price action and identifying the High Probability trading setups. Also it includes, how to identify low and high probability setup along with complete money management strategy and how different aspects of financial markets help to control the risk. You will be able to learn from basics to advance about Gartley Pattern and how managing money with mathematics can be profitable in long run.
Background in Trading
You must have general understanding of trading or executing orders.
Material Included
I'll cover theory with hands on practice approach and will also provide additional document that will help you to automate calculations. We will also cover Live charts analysis for examples.
Course Structure and Timing and Why this course
It will take you approximately 1 to 2 hours to go through the theory and i'll highly recommend to executive them on Demo prior to Real Account. If you already have experience in financial markets, you can easily add it to your trading tool and enjoy the strategy with great profits. High probability setup and Money management is so pivotal that it will define your success in trading business. Keep practicing and you will enjoy the course.
What are the requirements?
What am I going to get from this course?
What is the target audience?