The Professional S&P 500 E-Mini Trading Course

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1 The Vector Traders Consortium and The Inside Technician are proud to present this Pre-recorded Live Event entitled: The Professional S&P 500 E-Mini Trading Course This professional S&P 500 E-Mini Trading Course was administered to a sold out live audience this past June 8th-11th We now bring you these pre-recorded sessions in their entirety for a limited time, and with very limited availability For Complete Curriculum and Pricing Click Through This Link or Simply Scroll Down to View the Entire Course Outline:

2 S&P 500 E-Mini Futures Professional Trading Course Jeff Kilian is a real life Trader and educator who has the ability to communicate this information to traders at any level of experience. This is an excellent course. Larry Jacobs Trading Champion and Editor of Traders World Magazine Summary and Benefits: The S&P 500 E-Mini Professional Trading Course is designed to bring the late beginner and intermediate trader, to the advanced level in a fraction of the normal digestion period. It achieves this by focusing on the correct advanced application of Technical Analysis, to vector in on what really moves prices in the Market, how the trader will know with certainty the direction of the current state of the US Market, and finally how he/ she will qualify real time trading opportunities that meet very strict qualifying parameters, while incorporating excellent risk control. This course is the end result of over 25 years of real time trading, about how to cut right through the maze of information by extracting out of the price action and advanced indicator interpretation, the actionable trading intelligence you need to help maximize your profitability. This course was personally led by Jeff Kilian, a 25 year veteran trader and a worldwide respected authority on how to trade the S&P 500 E-Mini Futures Market profitably. He has now well over 125 real time profitable trades posted to his YouTube Channel, and countless published articles on the correct application of Technical Analysis. This course will be an event where serious traders can immediately put into practice what they will learn, to arrive at an entirely new level of trading. See Modules 1-8 below for the course outline.

3 About Vector Traders Consortium Mission Statement: The VTC is a private group of professionals whose primary goal is to train institutional and sophisticated retail clients to trade profitably, while maintaining acceptable risk. The sophisticated independent retail trader will be trained to bridge the gap between average profitability, into high proficiency. Both scenarios employ the advanced application of technical analysis, where the trader now realizes his/ her larger trading profits have become a function of knowing where and when only the largest institutions have committed to the buy or sell side of the market, and will trade in the same direction. An unwavering commitment to disseminate actionable trading intelligence, guarantees your educational investment. The VTC provides full transparency to all clients in all educational venues. Our methods are proprietary in nature, and require full disclosure of interested parties for our applied training. This course is personally led by Jeff Kilian, a 25 year veteran trader and a worldwide respected authority on how to trade the S&P 500 E-Mini Futures Market profitably. He has now well over 125 real time profitable trades posted to his YouTube Channel, and countless published articles on the correct application of Technical Analysis.

4 Module 1 We begin by presenting the critical nature of Volume, and how it effects future directional price movement. Throughout history, the largest trading institutions have always been responsible for orchestrating price movement from one direction to another, or will sustain buying or selling pressure to keep prices moving in the established direction to continue the trend, whether long or short. Volume and the quantity of it, is the pure engine behind future directional price movement, and how far the prices will move. Case studies will be examined using the most recent prices on the S&P 500 E-Mini Futures Market as compared to the past, to immediately prove out that by exposing where and when only the largest institutions trade, now allows the professional an inside look into the future with a clear positional advantage. Major market turning points will be identified both short and long, and how the price action as compared to the volume played a key role in the outcome of the prices moves. We will focus in on the correct application of Technical Analysis, to objectively analyze the supply and demand ratio, to know who is in control and the established direction for price movement for the near term future. Once the professional knows this, it now becomes a function of learning how to select the True High Probability Trades in Real Time.

5 Module 2 In this session we begin with an overview of the key indicators used in your daily analysis to determine the current state of the US Market. A simple and straight forward approach breaks down how to systematically and objectively analyze the end of day data, so that the trader is sure he/ she knows whether the market is net neutral, short or long. As the current state of the US Market can change on a daily basis, the trader understands the vital importance of following the correct flow of the analysis, and repeating the very same forensic analysis every single day, before any considerations what so ever will be made for trading in real time. After the basic over view of the indicators, we will focus on the Money Flow Index. The Money Flow Index is a time proven short term Indicator, which identifies whether the volume that has traded in is either on the short side, or the long side. It will additionally identify when and where the overall Market can be trading Net Neutral. It is a direct reflection of the largest of Institutions that are buying in or selling out, in the form of accumulation or distribution. The relative comparison of the Money Flow Indexes inherent values as compared to the prices, objectively show when and where the largest players are moving in and out of the market, so the trader can verify future directional price movement. The confirmation of the MFI moving in the same direction as prices provides the Trader with a valid signal to be trading short or long, or if the market is moving Net Neutral, the trader will then stay on the sideline until that scenario changes.

6 Module 3 Here the student of the Market once and for all learns the correction application of Trend lines, and how they play such an important role in determining exactly where and when the Market Bias changes. The Market Bias as we spoke of earlier can change on a daily basis, and one of the most time proven methods to get the confirmation of those changes is via the trend line violations. Trend line violations (Where prices have crossed from below to above, or from above to below) provide two important trading scenarios. One is the early warning that prices may reverse and move in another direction, or that prices have broken out of the established trading channel, and it is now time to consider trading long or short. As you will see in the many case studies that will be presented, the correct application of a seemingly simple technique, provides the confirmation or non- confirmation the trader needs to have, to make a serious trading decision both on an end of day, and more importantly on a real time basis. As we move further in the course material, we will provide real examples of how to use the correct application of trend lines within the Indicators themselves. Making the connection between a trend line violation within the indicators in the sub graph below the prices, and the subsequent trend line violation of the prices above, now gives the professional the confidence and conviction he/ she needs to continue gathering case evidence that a market bias change is in play, or a real time trade consideration is now valid.

7 Module 4 In this session we discuss in detail the application of the Chaikin Money Flow indicator, and how by correctly interpreting this indicator, you will add a layer of longer term confirmation to know exactly where and when the largest institutions are trading in and out of the market. The basic premise behind using two Money Flow Indicators in our analysis is quite simple. It gives us a much greater positional advantage to change our Market Bias when confirming the major market turning points, and raises the bar to a higher level of qualification for valid real time trade selection. The right Chart Patterns are a key element for real time profitable trading. Where no two patterns are ever the same, they will still have to have a certain profile to qualify for real time trade consideration, and this is what the trader will learn in this session. Those selected patterns when accompanied by both the Money Flow Index and now the Chaikin Money Flow Indicator confirmations, will leave no doubt to take the trade when the moment arrives. This is one of the most powerful aspects of this course, in showing the trader how to literally look through the prices, and predict with a high degree of accuracy where the prices should be moving in the near term future. I was in every Module of this course as Jeff Kilian administered it in real time. It far exceeded my expectations and was worth the money times ten! Allan Schroder 5 year Full time Professional Trader

8 Module 5 Session 5 will introduce all traders to Divergence Analysis, and specifically how this technique will identify pent up buying or selling pressure, that has not yet taken place in the form of future directional price movement. If an advanced warning system were ever created, then this is it. Divergence Analysis once mastered is by far one of the most powerful elements of a Trading Methodology that a professional could ever employ. It reveals when and where prices will change direction long before they ever do. You will be taught how to correctly identify exactly where and when a positive or negative divergence has formed, and how to use that intelligence to predict future directional price movement. Case studies will be examined demonstrating exactly how Divergences were clearly present before major market turning points were confirmed, referencing recent market conditions and historical data. An example of how to incorporate both an advanced Negative or Positive Divergence within your current end of day and real time 15 minute chart analysis, will be provided as an additional case study to the trader within this session. This Course Includes Free Ongoing Education and Support: To ensure the serious student of the market has everything he/she may need to succeed as a professional, we offer a live 60 minute bi-weekly support webinar. Your live support webinars are held every other Wednesday at 4:30 pm EST to answer any questions you may have. These support webinars are administered by the Vector Traders Consortium professional traders, and are fully recorded and available to you within 24 hours to view on demand.

9 Module 6 Confluence is confirmation. Now we will Include and examine both the Dow equities, the S&P 500 Equities (known as the cash side) before we finish with our analysis on our primary market that we will trade, the S&P 500 E-Mini Futures. We do this to discern whether the Equities Markets and the E-Mini Futures Market are moving in parallel or not. It is vitally important to know the current state of the US Market every single trading session and here we will perform a forensic examination of all related indexes, so we arrive at an objective conclusion. Remember we are referring to Objective Analysis vs. Subjective Analysis. Objective meaning, something that can be analyzed and confirmed as being the absolute truth, vs a grey area or an inconclusive finding. No trader lives on an island and neither does a singular market. The interconnectivity of Markets is ever present, and where one may be lagging and another leading, it sends a clear signal as to what Market the largest institutions may be using at that time to move prices in the near term future within the primary market we trade. These institutions are the kings of shape shifting, and will use whatever means and market they deem necessary, to feed off of the less educated trader and line their pockets with the losses from them. At this juncture, the course attendees will now be able to literally see how the largest institution will orchestrate price movement ahead of time, with a high degree of accuracy.

10 Module 7 Real time trader training is the focus of this entire session. This may very well be the most exciting and highly anticipated session within the entire course! Attendees will be shown how to successfully cross the bridge from end of day Market Analysis findings, into the 15 minute real time charts to gear up for high probability trade selection. The real advantage of all the techniques you have learned so far referencing your end of day analysis, is that they all have direct application to profitably trading in real time. No new or modified techniques need to be introduced to master high probability trade identification and increase profitability. We will provide numerous complete walk throughs of exactly what constitutes a True High Probability Trade Set Up and how to trade it in order to make real money. From the current support and resistance levels on the fifteen minute charts, to the indicator formations, to the price chart patterns, to current volatility associated with the trade set ups, right down to the one minute chart, to make the ultimate decision to take the trade or not. Correct stop placement relative to the preferred entry price is covered in detail, so you the trader calculate your known risk once again, long before the trade is taken. The one minute chart will always lay out the exact floor or resistance level that prices will need to trade through by one quarter of point, in order to realize the best possible fill. From there, you will be trained how to identify price profit targets in advance, so that you are out on a rally and most importantly Lock in a trading Profit. A trader must be educated how to progress in levels, where he or she now has an attainable and sustainable goal. This session will be intense, and the student should be prepared ahead of time, for the vast amount of information that he or she will receive.

11 Module 8 Real time trader training continues as we move into more advanced techniques for profitable trading. In this session we cover the intricacies of indicator interpretation as the prices move in real time. Minute by minute prices can either move closer towards a valid entry or not, and it becomes your new task as a professional to adapt to the movement of those prices, and determine exactly where you now stand in real time. We will look at multiple divergences in multiple time frames based on the indicators time parameters, as compared to the price patterns or the trading channels defining the category of the high probability trade itself. Is it a level 5 or 6 or 7 or 8 or 9? Every trade should have an established categorical strength level in order to determine your contract sizing. Knowing how many contracts to trade based on your account size then married with the trade set up, is crucial to longevity in your new or established career. It is one thing to get into the business, and another to stay in it. Knowing how to mitigate open risk will be the insurance policy you will need to continue trading for years to come. Finally we will introduce the correct application of Fibonacci ratios, to identify clear cut support and resistance levels and high probability price profit targets in real time. Most traders have some understanding of Fibonacci Ratios but are not aware of just how powerful and profitable they are, when they are applied properly on the fifteen minute charts. I know of no other trader besides myself who has done such an exhaustive amount of research on this technique, than myself. Throughout my 23 year career as a professional I have relied upon and profited from this technique, because it has provided me with the necessary confirmations that otherwise just would not be possible.

12 For More Information and to reserve your seat Visit: Notice: This course was sold out to a worldwide audience Our enrollment is limited to 20 attendees to provide individualized attention. This prerecorded event will be offered on a first come first served basis as well, with a maximum of only 20 courses offered again. How We Deliver Your Course to You: All course material has been uploaded to the Citrix GoTo Webinar Global Servers, and is available for you to view on demand 24 hours a day, 7 days a week for life. Upon payment you will receive an confirmation with links to all modules in this course. Book Mark Us Now For All Future Trading Events:

13 Disclaimer: There is a substantial risk of loss in trading. Vector Traders Consortium nor any of its principals employees or partnerships makes any recommendations to trade any securities in any marketplace at any time what so ever. The services offered are strictly for educational purposes and the client assumes all his or her own risk when making any of its own trading decisions when trading any securities with in any marketplace. Our educational services are all designed to educate the client in employing the correct application of Technical Analysis to then be able to make better informed self directed trading decisions DISCLAIMER- VECTOR TRADERS CONSORTIUM, L.L.C. ("Vector Traders Consortium" or "we" or "us") is not registered as an investment adviser. Vector Traders Consortium, L.L.C. relies upon the "publishers' exclusion" from the definition of investment adviser under Section 202(a)(11) of the Investment Advisers Act of 1940 and corresponding state securities laws. As such, Vector Traders Consortium, L.L.C. does not offer or provide personalized advice. We publish information about companies and markets in which we believe our readers may be interested and this information reflects our sincere opinions. The information that we provide or that is derived from our website is not intended to be, and should not be construed in any manner whatsoever as, personalized advice. Also, our website and the information provided by us should not be construed by any subscriber or prospective subscriber as Vector Traders Consortium, LLC's solicitation to effect, or attempt to effect, any transaction in a security. Investments in the securities markets, and especially in options and futures, are speculative and involve substantial risk. The information that we provide or that is derived from our website should not be a substitute for advice from an investment professional. We encourage you to obtain personal advice from your professional investment advisor and to make independent investigations before acting on the information that you obtain from Vector Traders Consortium or derive from our website. Only you and your financial advisor can determine what level of risk is appropriate for you.

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