How to Make Big Returns Out of Brexit (London)

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Location

University of Westminster,

C152 Lecture Theatre

115 New Cavendish Street

London

W1W 6UW

United Kingdom

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Refund Policy

No Refunds

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Description

http://www.itpm.com/seminars/

Retail Traders and the general public see BREXIT as only a political event that may or may not affect their job, business, their house price or as an event that they can potentially make a bit of money out of by trading a chart in reaction to the event. Professional Traders see BREXIT as a major opportunity NOW to profit from in the Financial Markets, in multiple instruments across Europe and the UK over the next 1-2 years.

“Brexit so far has created a ton of opportunities in the financial markets and Retail Traders are missing out because they don't fully understand how BREXIT affects both UK and European Financial Markets and what the opportunities actually are. This is mainly because all they look at is short term charts of the FTSE, EURGBP and GBPUSD. There is so much more out there to profit from."

Jason Mcdonald - ITPM Senior Trading Mentor


NOTE: ITPM Managing Partner Anton Kreil only visits London 1-2 times per year to deliver public seminars. This event will be booked out. Book your Ticket early to avoid disappointment.


ITPM Managing Partner Anton Kreil & Senior Trading Mentor Jason Mcdonald are going to show you How to Make Big Returns from BREXIT using the ITPM systematic process which is used by Professional Traders at Hedge Funds globally. Delegates of this seminar will be learning many of the detailed nuances that are part of having an overall systematic process that massively raise the probability of any market participant making consistent profitability over their lifetime and how they apply to this once in a lifetime opportunity to make serious money.

This systematic approach to Long / Short Portfolio Management / Trading can be used to make profit in any market environment. It works in Bull Markets, Bear Markets, Volatile / non-Volatile markets and even in "Sideways" / Netutral Markets across all Asset Classes (Equities, FOREX, Commdotiies and Bonds).

Requiring only 8-12 hours work per week, Long / Short Portfolio Management is the ideal solution for Retail Traders who hold down a full time job already. With an 8-12 hour work commitment per week, you can expect to make 25%-100% returns per year on your money.

<<< Seminar capacity is restricted to a maximum of 40 delegates per seminar. Seats are regularly booked out in advance. Book early to avoid disappointment >>>


Seminar Content Timetable;-

6.15pm registration, 7pm start.


  • The REAL non MainStream Media (MSM) BREXIT Macro' Fundamentals

  • BREXIT Outcomes on Financial Markets

  • BREXIT Macro' Trades

  • BREXIT ETF & Stock Trades

  • BREXIT Volatility Trades

  • Acquiring a Professional Trader Systematic Process


Seminar Speakers

Anton Kreil - Managing Partner Institute of Trading and Portfolio Management

Former Goldman Sachs trader and Managing Partner of the Institute of Trading and Portfolio Management, Anton Kreil is going to teach you how to trade in the Financial Markets properly with an approach used by himself and the vast majority of Professional Hedge Fund Managers and Traders at Investment Banks globally so you can replicate this approach in your Retail Trading accounts to get long term consistent profitability.

Anton Kreil - CLICK HERE for Resume

Jason Mcdonald - Senior Trading Mentor Institute of Trading and Portfolio Management

Jason enjoyed a successful seventeen year career as a Hedge Fund Portfolio Manager and Proprietary Trader. After graduating with a degree in Philosophy Politics and Economics (PPE) from Magdalen College Oxford University in 1992, Jason was hired by BZW and went from initially being a research analyst within the Japanese warrants business to managing a $500mln Pan European Equities Proprietary trading book.

After building a successful track record, Jason then went to work for CSFB’s internal Hedge Fund Modal Capital with a global mandate. Jason then went on to set-up and run the special situation risk arbitrage fund for the MAKO Volatility Hedge Fund.

At the peak of his career Jason became one of the largest Proprietary Traders on the Investment Bank side of the industry. In 2004 Jason joined Commerzbank as a senior proprietary trader responsible for significant parts of a global multi strategy multi Billion Euro proprietary portfolio.

Jason then managed $250mln global long / short portfolios at both Lehman Brothers and Toronto Dominion (TD) Bank before retiring in 2009. In retirement Jason has been contracted on multiple occasions in Corporate Advisory roles across a multitude of industries including Oil and Gas, Mining, Port Infrastructure, Financial Services and Aviation, helping companies’ structure capital optimally for next stage growth.

Jason joined the Institute in 2013 as a Senior Trading Mentor. Jason’s role at the Institute involves mentoring Institute Traders on the official Institute Mentoring Programme after students have graduated from completing the Professional Trading Masterclass (PTM) and Professional FOREX Trading (PFTM) Video Series. Jason helps Institute Traders to realise their objectives in becoming consistently profitable long-term and to build their track records. Jason also helps manage the Institute’s global portfolio in allocating capital to profitable students/traders.

Jason Mcdonald- CLICK HERE for Resume

Background

The Institute of Trading and Portfolio Management was established to educate, inform and coach Retail Traders & Investors how to take a more Professional approach to Trading and Investing in the Financial Markets. We deliver the highest level of Trading and Portfolio Management education available to the Retail Trader / Investor globally, utilising teaching methods that everyone can understand and deploy themselves. We manage a global Portfolio ourselves and manage a community of Retail Traders and Investors, that connect with eachother and support eachother. We provide our community with a favourable infrastructure that allows each individual to reach their full potential. Additionally, we invest in our best performing students / traders and we also place some of our best traders into Professional Trading employment with Hedge Funds and Investment Banks.

Typically we have three types of delegates that attend our seminars and then join the Institute;-

1. Delegates currently trading with their own money who have struggled to make consistent Returns on their Capital.

2. Delegates who want to start trading with their own savings and seek a higher level Professional Trading & Investing education Vs what is available elsewhere.

3. Delegates who are looking to enter the Professional world of Trading and Investing via Hedge Funds and Investment Banks.

You do not need any prior experience in Trading and Portfolio Management to attend one of our seminars. All you require is a basic level of common sense and arithmetic ability.

At the Institute you will be taught everything you need to know from basic to more advanced techniques. Our approach is challenging both to a beginner and more experienced traders. The professional trader approach is like nothing you have ever seen before. This is because it is simply not taught to the Retail Trader market and is usually only reserved for professional traders.

For background information on Institute Trading Education please Click Here

For more information on ALL upcoming Institute seminars please Click Here

To visit the Institute website and experience all that we do please Click Here

We look forward to seeing you there !!!


Date and Time

Location

University of Westminster,

C152 Lecture Theatre

115 New Cavendish Street

London

W1W 6UW

United Kingdom

View Map

Refund Policy

No Refunds

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