
A rules-based trading system built for clarity, discipline, and consistency.
After more than nine years of studying the stock market—cutting through hype, opinions, and conflicting strategies— Zach Discovered what actually matters: price, volume, risk management, and a proven, repeatable trading strategy.
His approach is heavily influenced by proven methodologies from Mark Minervini, William O’Neil, and Martin J. Pring - translated into a practical framework designed for real traders—not textbook theory or hype.
This course was built for people who are tired of guessing, tired of emotional decisions, and tired of feeling like the market is always one
step ahead.
No shortcuts.
No predictions.
Just a clear, repeatable framework you can use to know when to buy, when to sell, and how to manage risk.
MODULE 1 — How Winning Stocks Actually Behave
Market Structure & Leadership Foundations
• Understand how true market leaders behave before, during, and after major price advances
• Learn the difference between leading stocks and lagging stocks
• Identify accumulation versus distribution in real time
• Understand why most breakouts fail — and what separates high-quality moves from noise
• Learn how overall market conditions affect individual stock performance
MODULE 2 — Reading Price & Volume Without Guesswork
"Professional Price-Volume Interpretation"
• Learn to read price and volume the way institutional traders do
• Identify confirmation and divergence between price and volume
• Recognize tight price action versus volatility and instability
• Understand supply, demand, and exhaustion without relying on indicators
• Learn when volume validates a move — and when it’s a warning sign
MODULE 3 — High-Probability Base Patterns & Entry Rules
"Structured Pattern Recognition"
• Learn the classic base patterns that precede major stock advances
• Identify proper pivot points and valid buy zones
• Understand why early entries and late entries fail
• Learn how to avoid chasing extended stocks
• Apply clear, rules-based criteria before entering any trade
MODULE 4 — Risk Management That Keeps You in the Game
"Capital Preservation & Loss Control"
• Learn how disciplined traders manage risk at all times
• Understand position sizing and why it matters
• Place stops correctly to limit losses without getting shaken out
• Learn how to cut losses quickly and
consistently
• Protect your capital during drawdowns and volatile markets
MODULE 5 — Trade Management, Exits, and Selling Rules
"Protecting Profits & Avoiding Round-Trip Trades"
• Learn when to take partial profits versus full exits
• Identify climax runs and exhaustion signals
• Protect gains without cutting winners short
• Avoid giving back profits due to emotion or hesitation
• Learn structured exit rules instead of guessing
MODULE 6 — Discipline, Process, and Consistent Execution
"The Trader’s Operating System"
• Build a repeatable weekly trading process
• Eliminate overtrading and impulsive decision-making
• Learn how to stay objective during market volatility
• Execute trades consistently using rules instead of emotions
• Develop the discipline required to apply the system long-term
30-Day Action-Based Guarantee (Zero Risk)
Go through the core lessons.
Learn the rules.
Apply the system.
If you don’t feel more confident reading charts, managing risk, and understanding how real traders operate, email us within 30 days for a full refund.

When you finish this course you will be able to:
• Know exactly when to buy and when to sell — driven by rules. Not emotions.
• Read price and volume to understand what the market is really telling you
• Identify high-probability breakout patterns before a stock makes a major move
• Correctly interpret stock charts with confidence instead of guessing
• Apply risk management rules that protect your capital
• Develop the discipline and psychology required to execute trades consistently
• You will also be equipped with an actionable trading strategy - including clear criteria for when to buy, when to sell, and how to manage risk.