Consolidation & Range Mastery Workshop
A 6-week structured cohort training mastering sideways market regimes, horizontal range boundaries, volume contraction cycles, and false breakout filters.
Program Description & Scope
The Consolidation & Range Mastery Workshop is our intensive flagship training program designed for traders and market analysts who want to eliminate guesswork during prolonged sideways market regimes. Over six weeks of live cohort instruction, structured homework assignments, and weekend chart reviews, participants learn to map support and resistance boundaries with precision, identify volume drying patterns, and execute high-probability continuation and reversal setups while managing capital risk conservatively.
Who This Training Is For
Independent traders, technical analysts, and portfolio managers struggling with chop, false breakouts, and premature entries in consolidation zones.
Expected Concrete Result
Ability to systematically diagnose non-trending markets, construct reliable range boundaries, calculate risk-to-reward ratios before breakout trigger candles, and maintain emotional discipline during low-volatility phases.
Program Scope & Topics
Comprehensive curriculum spanning horizontal channel dynamics, volume profile value areas, Bollinger Band squeezes, triangular coil compressions, and post-breakout retest confirmations.
What Is Included in Enrollment
- 6 weeks of live interactive lectures (two 90-minute sessions per week)
- Weekly graded chart homework with personalized instructor feedback
- Access to Saturday Live Chart Lab replay archive
- Standardized Consolidation Pattern Identification Workbook (PDF)
- Customizable Trade Journal & Setup Scoring Matrix
- Private cohort discussion forum and post-course alumni check-in
Clear Educational Exclusions
- No automated trading bots or black-box algorithms
- No live financial investment advice or portfolio management
- No proprietary indicator licensing required
Structured Step-by-Step Process
Week 1-2: Range Anatomy & Boundary Definition
Learn to identify early consolidation signatures, swing pivots, and volume tapering across daily and 4-hour timeframes.
Week 3: Compression Dynamics & Triangle Coils
Analyze ascending, descending, and symmetrical triangles with directional probability filters and volatility expansion indicators.
Week 4: Volume Profile & Value Area Traps
Map Point of Control (POC), Value Area High (VAH), and Value Area Low (VAL) to filter fake breakouts and liquidity sweeps.
Week 5: Execution Protocols & Retest Entries
Structure entry criteria, invalidation stop levels, and staged profit targets for breakout continuation versus mean reversion.
Week 6: Risk Management & Final Capstone Audit
Present and defend a complete multi-market consolidation analysis dossier before instructor panel.
Instruction & Quality Constraints
Enroll in Consolidation & Range Mastery Workshop
Limited cohort seats are allocated on a first-come, first-reviewed basis to maintain high instructional standards.
Submit Enrollment Request