The Science of Trading by Mark Boucher
The Science of Trading by Mark Boucher,President, Investment Research Associates
Manager, Midas Hedge Fund
The Science of Trading Course comes in 12 Audios with 467 pages manual
The Science of Trading? Course Outlines:
I. Why Every Trader Should Study Macro-economic and Monetary Analysis
1. U.S. stock and Mutual Fund investors
2. Short-term futures and option traders
3. Global Equity investors
Conclusion: There are substantial benefits increasing profitability and
Reliability, and reducing drawdown and volatility from using simple monetary and
macro filters in investing in stocks, bonds, global equities, and short-term trading
strategies.
II. The Importance of Reliability: Consistent independent returns versus
market dependent volatile results.
III. The First Foundations of Investing Success, Personal C haracter, Money
Management, and Allocation Strategy.
IV. Timing Variable Concepts: Independent Analysis Variables that Add Value
to Investing Methods to Increase Reliability and Profits, and Reduce Volatility
and Drawdowns – These are the Fuel Behind Major Moves in Markets
1. Liquidity – one of the most reliable and crucial variables for adding value to
investing performance and understanding what creates major moves in
the markets
2. Valuation- a critical component to evaluating risk and reward
3. Technical Models – reading the markets and making sure that anticipated
fuel is leading to a major move
4. Secular Themes and Trends, and Technology Gaps – the source of
explosions in earnings and GDP growth
5. Long-Run Growth Variables – understanding the economics behind major
cycles in markets and how to analyze the variables that create them; a key
component of selecting the right countries invest in.
6. Austrian Alchemy- predicting the outcome of a policy or distortion to free
markets, and understanding why things work or don’t
7. Understanding – if you don’t just use timing models but understand why
and how they operate you’ll gain muc h higher profits
V. Specific Timing Models and Rules for Using Them
1. 10 key Monetary Models for timing stocks and bonds
2. 15 key Economic Models for timing stocks and bonds
3. Seasonality Models and historical implication for stocks and bonds
4. 8 key Sentiment Models for Equities
5. 24 Market Breadth Models for Timing Stocks
6. An S&P Futures trading system for exploiting gap openings
7. 5 Key-bond-only timing models
8. 2 Gold Stock Timing Models
Armed with these models you’ll know when the odds are heavily in your
favor for a significant move up in stocks, bonds, gold stocks, and different stock
market sectors and countries.
VI. Vehicle Selection: The Most Important Ingredient to Investing Performance
1. Runaway Market Characteristics- the first filter
2. The Fuel Behind Gains in Individual Stocks
key earnings growth variables
relative strength – the most significant independent variable
valuation in relation to growth
institutional behavior and how to benefit
debt and self financing
rating services like Zweig, Value Line , Zacks, IBES, Morningstar
liquidity cycle and market trend
high alpha’s and low beta’s
3. Simple Patterns for getting on board top situations with limited risk
4. Exit criteria for longs and shorts
5. Short-sales and short hedges – high P/S’s, low RS, price patterns and
earnings disappointments
6. Global Stock Criteria where not all critical information is available
VII. Pattern Recognition, Technical Analysis and Top Indicators
1. Key indicators and their use
2. Make sure it’s a Runaway Market before applying Patterns!
3. 42 Pattern Recognition Patterns and entry/exit/ops rules
4. Top opportunities using patterns for short-term trading
5. Trailing Stops, Trend, and the GTI
6. Reading the mind of the market across many instruments using pattern
recognition and classical technical a nalysis
VIII. Timing the Waves in Commodities
1. The classic cycle from undervalued to overvalued extremes, how it works
and why it continues
2. Analyzing the individual supply and demand factors of each commodity
3. The Liquidity Cycle and how to two key indicators to time the sweet spot in
the commodity cycle when low-risk, reliable, and substantial gains are
made
4. Relative Strength in commodities, Runaway trends, and Patterns
5. Top commodity funds to time for allocation
IX. Low-risk, Conservative High Yielding Portfolios Utilizing Fuel for Top Gains
X. Global Real Estate Opportunities
XI. Course Summary, -Discipline, and Where to go from here.

This Stock Patterns For Day Trading describes the trading strategies used by a professional stock trader in his own trading. The ideas come both from friends who are successful traders as well as his own experience with SOES trading. The collection of trading patterns described represents one of the first full-fledged books of instruction on short term, swing and day trading in individual stocks. The author’s intraday trend trading approach and his scalping method are both described in detail. He uses the setups daily in his own trading. This course should prove valuable to the thousands of short term stock traders who seek to make their living from speculating on short term price swings. It is a toolbox for finding high probability trades for success as you trade the stock market. The technical ideas are primarily crafted around the personality of the NASDAQ market but may also be implemented in New York trades.
VIDEO I (Introduction Module)
The Applied Reality Trading? Online Home-Study Program is a comprehensive four week course in trading stocks, bonds, futures, forex, indexes, e-minis, and mutual funds.
This three-part DVD course explains why the sector rotation process is continuously creating profitable opportunities just waiting to be seized. It also tells you how to easily execute InterMarket and sector rotation strategies with ETFs. You are also provided the historical data to follow these relationships as well as links to keep you up-to-date.
The “Day Trading E-Mini S&P Futures” DVD presents a trading strategy based on timeless and powerful market principles that captures explosive, short term, intraday moves.
Dr. Richard McCall is the author of the international best-selling trading-psychology/discipline book, The WAY Of The Warrior-Trader, and what is destined to become a classic sequel work, The Warrior-Trader’s MASTERY MATRIX. Now, Clickevents is pleased to announce the release of Dr. Richard McCall’s 3-CD collection, “The Mastery Group Series.”




































