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Gary Anderson is a thirty-five year market professional. He is a principal of Anderson & Loe, Inc., a firm that provides technical consulting services to an international clientele of banks, mutual funds, insurance companies, hedge funds and independent advisors. Gary has published articles in Technical Analysis of Stocks and Commodites and is regularly quoted in the Wall Street Journal and Investors Business Daily.

Here's one of Gary Anderson's recent presentations.

Successfully Evaluating the Offensive and Defensive


Expert: Gary Anderson
Type: PDF Workbook MP3 Audio
Running Time: 110 minutes
Workbook Length: 30 pages
Availability: Now
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Measuring the relative performance of stocks in both strong and weak markets will help you select stocks, groups and sectors most likely to contribute to a winning portfolio. Common techniques for computing relative strength ignore the offensive and defensive traits of equities. In this seminar you willl learn how to compute and read offensive and defensive strength as well as how to identify trading stocks early, how to avoid a dead issue, how to score on offense and how to tell when it is time to field a strong defense. You will learn a powerful yet simple technique for determining when trend-following or contrarian strategies work best.


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The Janus Factor


Expert: Gary Anderson
Type: PDF Workbook MP3 Audio
Running Time: 90 minutes
Workbook Length: 36 pages
Availability: Now
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Why is it that at times profits come easily, while at other times your trading nets only red ink and frustration? Have your trading methods changed, or has something about the market environment changed your odds for success? In this seminar, Gary Anderson introduces you to The Janus Factor, the single most powerful influence on your trading results. The market shifts back and forth between two modes and only one will offer traders a consistently favorable risk/reward. In this seminar, you will learn how to tell the difference. Whether you are a new trader or a seasoned pro, learn to handicap your odds for success from market to market and when to cut back or stay out or when to double down. Gary will teach you how to find the market's high-probability sweet-spot and how to avoid low-probability trades. Finally, learn to compute The Spread, the ultimate guide to risk-management.


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