Dan Sheridan – Trading in All Time High Markets – Live April-June 2024
Instructor: Dan Sheridan
Course Format: Live Interactive Sessions
Skill Level: Intermediate to Advanced Options Traders
Course Overview:
In Trading in All Time High Markets, Dan Sheridan offers an in-depth, live, interactive experience designed to help traders navigate and profit in bullish market conditions, especially when markets are hitting all-time highs. This course covers the unique challenges and opportunities that arise in such markets, including how to adapt your trading strategies to avoid common pitfalls, manage risk, and take advantage of market momentum and time decay.
As markets continue to push higher, many traders face increased volatility, uncertainty, and the pressure to manage positions effectively. In this live series, Dan will guide you through advanced techniques for option trading in bullish, high-performance environments, using a combination of probability-based strategies and risk management techniques designed to maximize returns and minimize losses during periods of market strength.
This course focuses on advanced strategies such as selling premium, volatility-based setups, and adjusting positions as market conditions evolve, ensuring that you stay profitable even in the most extreme market environments.
What You’ll Learn:
✔️ How to identify market conditions and signs of continued momentum in an all-time high market
✔️ The key differences between trading in bullish markets and bearish or sideways markets, and why time decay plays a more critical role in high-performance environments
✔️ How to adapt your trading strategies to high volatility and market euphoria, ensuring you can still profit while managing risk effectively
✔️ The importance of position sizing and how to scale your trades appropriately in a bull market
✔️ How to implement neutral-to-bullish options strategies such as Iron Condors, Calendar Spreads, Butterflies, and Vertical Spreads that capitalize on time decay and volatility
✔️ The adjustment techniques that allow you to stay in profitable trades during market highs while reducing risk when markets start to exhibit signs of weakness
✔️ How to deal with volatility and market fluctuations, and use this information to manage positions effectively in a rising market
✔️ The mechanics of short-term trading strategies that work best in high momentum markets, including how to use intraday and multi-day timeframes
✔️ How to incorporate backtesting and historical data to create a data-driven approach for profiting from all-time highs
✔️ How to use advanced Greeks management to tailor your strategies to changing market conditions and maximize profitability
✔️ Risk management techniques tailored to protect profits in strong market trends, including protective stops and hedging strategies
✔️ How to combine different options strategies into a cohesive trading plan, balancing growth and risk protection for more sustainable long-term gains
Course Includes:
✔️ Full access to live sessions with Dan, where he will break down real-time market analysis and trade setups for an all-time high market
✔️ Downloadable resources, including trade plans, checklists, and guides that help you implement and manage the strategies taught in the course
✔️ Risk management tools designed to help you size positions appropriately and monitor exposure to both directional and volatility risks
✔️ Practical case studies that show how these strategies have worked in previous all-time high market environments, with examples of adjustments, wins, and losses
✔️ Bonus content on how to use macro trends and indicators to forecast the behavior of markets at all-time highs and optimize your trading plan
✔️ Techniques for handling large positions and scaling trades in a high market environment, including live trade walk-throughs with Dan
✔️ Special focus on how to prepare for market pullbacks and plan for the downside, ensuring your strategy remains viable in all market conditions
Why Choose Trading in All Time High Markets?
Trading in all-time high markets presents unique challenges and opportunities. With prices soaring and investor sentiment at its peak, it's easy for traders to get caught up in the momentum and lose sight of risk management. This course equips you with the tools, strategies, and mindset to profit in these environments while minimizing risk.
By focusing on probability-based options strategies and emphasizing adjustments and position management, you will be able to stay ahead of the market, capture gains in a high-performance environment, and protect yourself from sudden market corrections. This course is perfect for anyone who wants to:
Who This Course Is For:
About Dan Sheridan:
Dan Sheridan is a veteran options trader with over 30 years of experience in the markets. As a former market maker at the Chicago Board Options Exchange (CBOE) and the founder of Sheridan Options Mentoring, Dan has trained thousands of traders how to successfully navigate a variety of market conditions using advanced options strategies. Known for his clear, structured teaching style, Dan specializes in helping traders develop systematic, disciplined approaches to trading that minimize risk and maximize returns. His expertise in managing trades in both volatile and bullish markets has been pivotal in helping traders achieve consistent success.