Adjust these depending on your trading horizon—scalp, swing, or position.

: Unlike many academic texts, Shannon writes from the perspective of a "real trader," skipping get-rich-quick fluff to deliver a practical framework for preserving capital. Risk Management focus

Brian Shannon’s approach centers on the idea that no single timeframe provides a complete picture of a stock's health. By "layering" charts—ranging from weekly to 5-minute intervals—traders can ensure they are buying into strength while managing risk on a granular level.