Program Structure Deep Dive
Months 1-3: Foundation Building
Master calendar fundamentals and historical pattern recognition
We start with market history — understanding why certain patterns developed and how they've evolved. You'll analyze 20+ years of data across different asset classes.
Week by week, we build your pattern recognition skills. By month three, you'll spot seasonal opportunities that most investors miss entirely.
Months 4-6: Strategy Development
Build personalized calendar-based investment strategies
This is where theory meets practice. You'll develop three complete strategies based on your risk tolerance and investment timeline.
Our backtesting tools let you see how your strategies would have performed historically. Most students are surprised by the results.
Months 7-9: Advanced Applications
Sector rotation, international markets, and portfolio integration
Canadian markets have unique calendar patterns different from U.S. markets. We'll explore resource sector seasonality and currency impacts.
International diversification becomes much more effective when you understand global calendar patterns and their interactions.
Months 10-12: Real-World Implementation
Live market analysis and ongoing portfolio management
The final quarter focuses on execution. You'll manage a simulated portfolio through real market conditions with weekly feedback sessions.
By graduation, you'll have a complete investment calendar system tailored to your specific goals and risk parameters.