What is SD Rainbow Wave or the Fountain of Gold setup?
SD Rainbow Wave / Fountain of Gold is a comprehensive and simple trading system. Developed by Mr. Saanando Das, a seasoned mentor in Forex and Commodity trading at Elearnmarkets. This dynamic system equips traders with the tools and strategies needed to thrive in today's diverse markets. Whether you're an aspiring day trader, swing trader, or investor, this course will empower you to navigate stocks, futures, options, currencies, and commodities with confidence and precision.
PLEASE NOTE: THIS IS A SUBSCRIPTION BASED COURSE
Strategies to be covered
Overview- The Allocators’ Edge (AE) strategies are designed for portfolio management and risk-taking in the market. These strategies provide a framework for position sizing and asset allocation, offering a powerful method for optimizing capital allocation and managing market risk. To protect portfolios during downturns, you will also learn how to adjust positions dynamically, making hedging more effective.
Allocators’ Edge also explores opportunities in global index trading for wealth creation.
Together, these strategies provide a comprehensive approach to both risk management and growth in various market conditions.
Overview- The Cash Stocks (CS) strategies offer various approaches to capitalize on stock market opportunities. We will cover positional trading using the TMPV strategy, along with short-term swing trading, intraday trading, and identifying high-potential stocks in the early stages of their IPO phase.
Together, these strategies provide a comprehensive approach to trading in cash stocks. Now, you can utilize the “SD Rainbow Screener X” to save time and filter stocks more effectively with its automated approach.
Overview- The Stock Futures (SF) strategies adapt the Creme de la Creme approach for futures trading. These strategies are designed to capitalize on both short-term positional and intraday movements in stock futures.
Overview- The Bond Strategies (BO) focus on generating returns from fixed-income instruments. One streategy focuses on interest-bearing instruments that provide safety and stability during volatile market conditions, while another targets bond trading strategies aimed at capital appreciation.
Together, these strategies offer a balanced approach to bond investing, catering to both income generation and capital growth.
Overview- The Commodity Strategies (COM) provide a comprehensive approach to trading commodities. One strategy focuses on profitable intraday trading setups, while another is designed for positional trades in the commodity markets. These strategies help you navigate and capitalize on both short-term and positional opportunities in commodities.
Overview- The Forex Strategies (FX) are designed to offer profitable approaches to the forex market. Whether it's short-term trading, longer-term forex trades, or the well-known Long-Short Strategy, which uses a relative strength-based approach, these strategies are particularly beneficial for those involved in international forex trading. Together, they provide a well-rounded framework for navigating the forex market.
Overview- The Option Strategies (OPT) focus on structured option buying strategies for maximizing profitability. Some strategies cover variations of Bull Call Spreads, designed to capitalize on upward price movements with limited risk. Similarly, others focus on Bear Put Spreads, allowing traders to profit from bearish market conditions. These strategies offer diverse approaches for successful option trades, leveraging the power of spreads to manage risk while maximizing potential returns.
The Option Strategies (OPT) also include powerful options selling techniques. Some strategies focus on Bear Call Spreads, designed to profit from bearish or neutral market conditions with limited risk. On the flip side, others cover Bull Put Spreads, allowing traders to capitalize on bullish or neutral trends. These options selling strategies are among the most successful under the Fountain of Gold, offering a structured approach to capturing returns while effectively managing risk.
Minimum Requirements:
Kalyan has over 15 years experience in Global Markets Analyst, Fund Management Professional, and writer. He specializes in various market segments, including Non-ferrous Metals, Energy, Precious Metals, Equity Index, FX, and Bonds. With a strong background in finance and extensive knowledge of different markets, Saanando serves as a mentor for Forex and Commodity Trading.