Private Indicator Calibration & Chart Audit
Tailor standard deviation envelopes and ATR stop multipliers to your specific market focus.
Primary Objective & Practical Result
A customized indicator calibration document detailing precise parameter adjustments for your primary charting timeframes, eliminative filters for low-liquidity chop, and a structured volatility sizing calculator.
Curriculum Scope & Technical Depth
Comprehensive review of 20 past trade logs, examination of current chart templates, mathematical parameter optimization for 1-3 chosen asset classes, and customized stop-loss rule construction.
Step-by-Step Instructional Progression
Pre-Session Intake
Review of your recent trade journal, timeframes used, and current indicator settings.
Live Chart Diagnostics
Step-by-step stress testing of your current entry/exit rules against historical volatility shocks.
Parameter Calibration
Adjusting ATR multipliers (e.g. 1.8x vs 2.5x) and Bollinger length/standard deviation for your style.
Post-Audit Verification
14-day check-in to verify that whipsaw frequency has decreased under live market observation.
What is Included & Excluded
Included in this Program:
- 120 minutes of dedicated one-on-one technical instruction with a senior analyst
- Recorded video archive of the entire calibration session
- Customized parameter specification sheet and risk formula workbook
- Two weeks of asynchronous follow-up email critiques on 5 newly executed charts
Explicitly Excluded:
- Account access, trade placement, or automated execution script coding