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Advanced Workshop

Pullback Entry & Risk Calibration Intensive

Master the art of buying the dip in verified uptrends and shorting rallies in established downtrends with optimal risk-reward symmetry.

Business professional working with analytical charts and technical graphs

Program Scope & Methodology

A specialised masterclass on timing retests, managing Fibonacci confluence zones, placing structural invalidation stops, and scaling into high-conviction continuation trends.

Key Analytical Learning Outcomes

  • Execute pullback entries with minimal drawdown at structural support levels
  • Deploy precise dynamic position sizing calculated from ATR and pivot invalidation
  • Master scale-out profit taking to lock in gains while letting winners run

Structured Curriculum Progression

01

The Anatomy of a Healthy Retest

Distinguish between a normal low-volume corrective pullback and an aggressive trend reversal.

02

Confluence Mapping

Align horizontal polarity (prior resistance becoming new support) with 20/50 EMA dynamic support and key Fibonacci retracements.

03

Trigger Candles & Microstructure

Execute on lower timeframe bullish engulfing or hammer candles that confirm institutional absorption.

How This Service is Delivered

Whether you participate in person at our Tamworth studio in New South Wales or join our digital interactive classroom, every session is recorded and catalogued with complete chart markups, annotated technical levels, and execution checklists.

Students receive direct, personal review on submitted chart setups and trade journal logs to ensure the principles of breakout confirmation and pullback entries are implemented properly without deviation.

Program Specifications

Delivery Format
Weekend Deep-Dive Masterclass + 2 Weeks of Live Daily Chart Reviews
Duration & Cohort Schedule
2 Days Weekend Intensive + 14 Days Live Daily Review
Studio & Session Location
Live Video Class & Tamworth Studio Hybrid
Tuition / Rate Basis
$750 AUD per participant
Intended Audience
Traders looking to improve their entry prices, tighten stop-loss distances, and improve overall trade risk-to-reward ratios.

What is Included

  • Intensive 12-hour weekend practical curriculum
  • Daily pre-market pullback watchlists for 14 consecutive trading days
  • Net Layer Base Position Sizing & Risk Management Workbook

Scope Limitations

  • Long-term 8-week mentorship community access
Apply for Next Intake

Next cohort: Conducted on the third weekend of each calendar month.