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📘 Get your FREE 115-page Ultimate Trading Guide: https://traderlion.com/YT-UTG 🔍 Next-Generation Stock Screener: https://traderlion.com/YT-DV 📈 Trade With IBKR: https://traderlion.com/IBKR In this deep-dive interview, Martin Luk—a top performer in the 2024 U.S. Investing Championship with a 283% return—breaks down the exact strategy that turned his trading around. Martin shares how he evolved from overtrading meme stocks to building a repeatable swing trading system focused on risk-reward, discipline, and relative strength. You’ll learn how Martin uses a low win-rate, high-R multiple strategy by entering stocks as they break out of tight ranges with minimal risk. He explains how to time entries using the opening range high, inside days, and anchored VWAPs—and how relative strength and tight stops give him an edge. Martin also reveals how to use equity curve feedback, scanner routines, and watchlist structure to align with market conditions. 🔎 What You’ll Learn: ✅ Martin’s tight-stop breakout method with less than 5% risk ✅ Why low win rate + high R trades can beat the market ✅ How to use relative strength and equity curve feedback to guide decisions ✅ Best trade breakdowns: COIN, AMC, GME, SMCI, and more ✅ Key mindset shifts from painful losses to disciplined growth Whether you're refining your system or building from scratch, Martin’s story delivers the technical tactics and mental models to grow as a trader Enjoy! The TraderLion Team Connect With Martin: https://x.com/martinlukkt Timestamps: 00:00 – How a 100% trade shifted Martin’s entire mindset 01:31 – Lessons from studying prior big movers 04:54 – Starting with $1,300 in 2020 and early influences 08:56 – From tripling his account to a brutal 50% drawdown 13:23 – Foundational growth through books, podcasts, and mentors 17:02 – Adopting a tighter stop strategy from Christian Kalayjian 24:27 – Martin’s swing trading style, low win rate, high R setups 30:50 – Why tight stops lead to parabolic R multiple gains 33:51 – Backtesting winners: Big movers rarely revisit breakout lows 36:00 – Ideal entry tactics: Inside days, ORH, and prior day highs 40:45 – Sell strategies: Into strength vs. trailing stops 47:50 – Case study: SMCI trade and painful exit mistake 55:10 – COIN trade driven by crypto correlation and pattern break 01:01:10 – GME & AMC: Fast gains using tight intraday structure 01:10:18 – Traditional breakout example: SOFI 01:16:33 – Parabolic trade and sell signals using volume and distance 01:21:19 – QUBT re-entry and lessons on precise breakout timing 01:24:52 – Best loss of the year: SMTC and honoring stops 01:26:50 – Mistakes from CSK and recognizing emotional entries 01:30:38 – Martin’s scanning system: Pre-market, daily, and leaders 01:35:22 – How watchlists reveal market health and trend 01:42:03 – Short setup breakdowns: Declining EMA + intraday resistance 01:50:12 – SMCI short and trailing rules for shorts vs. longs 01:55:03 – Using your equity curve as market feedback 02:01:09 – Martin’s top trading weaknesses and progress 02:03:07 – Reducing drawdowns: Lessons from SURF loss 02:08:01 – Final advice: Trading is a marathon, not a sprint