To Confidently Hit Your Investment Goals, Year After Year...
You Need To Eliminate What Causes Inconsistency 
What Will The Market Do Next?
Will The Next Move Favor Your Interest?
Know With Confidence 
BEFORE You Commit Your Money
Discover The Innovative Analysis and Market Forecasting Methodology, That Enables You To Accurately Forecast Price Action 
Limiting Downside Risk, Without Limiting Your Profit Potential

Roger Khoury is the Creator & Developer of:

The Probability Analysis Layer™,
3D Apex Predictive Failure Technology® and
Market Vulnerability Analysis™
He is also the Founder of MarketForecastingAcademy.com
WATCH THIS SHORT DEMONSTRATION
All Forecasts Are IN REAL-TIME and RECORDED LIVE
In Front of An Audience During The Demonstration
THE Full Recording IS Available Below THE Video
NOTE: Sunday late afternoon in Los Angeles, as reflected in the video,
is early Monday morning in Australia, where the Forex Market
is open for anyone to trade from anywhere in the world.
Click Bottom Right Icon To View In Full Screen Mode, For Greater Detail
(If you don't see the icon, hover your mouse over the video to view)
To View The Full UN-EDITED 55 Min Recording of The LIVE Event, CLICK HERE
To Confidently Hit Your Investment Goals 
Year After Year...
You Need To Eliminate What Causes Inconsistency 
WATCH THIS SHORT
DEMONSTRATION
All Forecasts Are IN REAL-TIME
and RECORDED LIVE
In Front of An Audience
During The Demonstration
The Full Recording
IS Available Below THE Video
NOTE: Sunday late afternoon
in Los Angeles, as reflected in the video,
is early Monday morning in Australia,
where the Forex Market
is open for anyone to trade
from anywhere in the world.
Click Bottom Right Icon To View In Full Screen Mode, For Greater Detail
(If you don't see the icon,
hover your mouse over the video to view)
To View The Full Recording of 
The LIVE Event, CLICK HERE
1. What Will The Market Do Next?
2. Will The Next Move Favor Your Interest?
Know With Confidence 
BEFORE You Commit
Your Money
Discover The Innovative Analysis and Market Risk Forecasting Methodology, That Enables You To Accurately Forecast Price Action; Limiting Your Downside Risk, Without Limiting Your Profit Potential

Roger Khoury,
is the Creator & Developer of:

The Probability Analysis Layer™,
3D Apex Predictive Failure Technology® 
and Market Vulnerability Analysis™
He is also the Founder of MarketForecastingAcademy.com
Do you take into account the 8 major market forces below and the probability of how each one will impact and drive price?
The 8 Market Forces Are:

1.
The fundamentals and traditional Graham-Dodd, Warren Buffett style forces...
 
2. Geopolitical forces (Including Central-bank and Macro-economic effects)...

3.
Volatility phase shifts...

4.
Market sentiment...

5.
Liquidity Levels (Includes Volume as well as Order Flow & Trade Flow)...

6.
Prime liquidity pools (Essentially hidden to the untrained eye), which HFT (High Frequency Trading) algorithms, Brokers and Market-Makers love to target (manipulating the market)...

7.
Imbalances in Supply and Demand...

8.
Technical analysis factors and its effects on the market (takes into account and replaces the most useful technical indicators that traders use), including Fibonacci, Elliott Wave and Gann
Since 2011, our proprietary analysis and market forecasting model, has produced a unique look and understanding into the forces of Supply and Demand: 

It has consistently produced an 85% or higher level of accuracy, by taking into account the 8 major market forces, then measures and values the probability of their combined impact and effect on price.
This innovative analysis method, acts as a filter to accurately identify high probability from low probability indications and opportunities for:
  • Any market indication: From support/resistance, direction, condition, topping/bottoming indications, Fibonacci levels, etc.
  • Any buy and sell signals: Regardless of the source (market strategy, price pattern, software, robo advisors, alert services, algorithms, A.I. generated signals, fundamentals, newsletter calls, etc.)
  • Any financially traded market: Stocks, ETF's, Options, Bonds, Futures/Commodities, Currencies (Forex), Crypto-Currencies (such as BitCoin), International Markets, Etc.
It offers unsurpassed insight to measuring and valuing the underlying forces of supply and demand, that expand and contract, which enables the user to accurately forecast the movements of market prices unlike anything else offered in the industry.
The Most Dependable and Consistent Way To Outperform An Ever-Changing Market, Year After Year, Is By Accurately Forecasting Evolving Risks Against Your Profit Interests Before They Can Negatively Impact You
Do you take into account the 8 major market forces below and the probability of how each one will impact and drive price?
The 8 Market Forces Are:

1.
The fundamentals and traditional Graham-Dodd, Warren Buffett style forces...
 
2. Geopolitical forces (Including Central-bank and Macro-economic effects)...

3.
Volatility phase shifts...

4.
Market sentiment...

5.
Liquidity Levels (Includes Volume as well as Order Flow & Trade Flow)...

6.
Prime liquidity pools (Essentially hidden to the untrained eye), which HFT (High Frequency Trading) algorithms, Brokers and Market-Makers love to target (manipulating the market)...

7.
Imbalances in Supply and Demand...

8.
Technical analysis factors and its effects on the market (takes into account and replaces the most useful technical indicators that traders use), including Fibonacci, Elliott Wave and Gann
Since 2011, our proprietary analysis and market forecasting model, has produced a unique look and understanding into the forces of Supply and Demand: 

It has consistently produced an 85% or higher level of accuracy, by taking into account the 8 major market forces, then measures and values the probability of their combined impact and effect on price.
This innovative analysis method, acts as a filter to accurately identify high probability from low probability indications and opportunities for:
  • Any market indication: From support/resistance, direction, condition, topping/bottoming indications, Fibonacci levels, etc.
  • Any buy and sell signals: Regardless of the source (market strategy, price pattern, software, robo advisors, alert services, algorithms, A.I. generated signals, fundamentals, newsletter calls, etc.)
  • Any financially traded market: Stocks, ETF's, Options, Bonds, Futures/Commodities, Currencies (Forex), Crypto-Currencies (such as BitCoin), International Markets, Etc.
It offers unsurpassed insight to measuring and valuing the underlying forces of supply and demand, that expand and contract, which enables the user to accurately forecast the movements of market prices unlike anything else offered in the industry.
The Most Dependable and Consistent Way To Outperform An Ever-Changing Market, Year After Year, Is By Accurately Forecasting Evolving Risks Against Your Profit Interests Before They Can Negatively Impact You
Constantly fishing for and betting on a strategic edge is actually going about finding a dependable and sustainable solution BACKWARDS
You may believe that there are certain factors that can't be overcome and it's just the nature of the beast, but that's a Distraction From The Root Problem!
Your Challenges and Inconsistencies Are NOT Due To:
  •  A Rigged and Manipulated Market 
  •  High Frequency Trading Algorithms
  • ​Volatility, Liquidity and Geopolitical Effects!
  •  Technology or Software Challenges
  • ​Strategy Related Breakdowns
  • ​Market Events
  •  Your Broker, Clearing House or Anyone On Wall Street
THESE ARE ALL SYMPTOMS OF AN INHERENT FLAW

To learn about the inherent flaw, which is the root cause for inconsistent performance, and how to confidently overcome it, download a complimentary of copy of: 

The Financial Markets Manifesto
(Available only through our sister site at Market Forecasting Academy)  
Constantly fishing for and betting on a strategic edge is actually going about finding a dependable and sustainable solution BACKWARDS
You may believe that there are certain factors that can't be overcome and it's just the nature of the beast, but that's a Distraction From The Root Problem!
Your Challenges and Inconsistencies Are NOT Due To:
  •  A Rigged and Manipulated Market 
  •  High Frequency Trading Algorithms
  • ​Volatility, Liquidity and Geopolitical Effects!
  •  Technology or Software Challenges
  • ​Strategy Related Breakdowns
  • ​Market Events
  •  Your Broker, Clearing House or Anyone On Wall Street
THESE ARE ALL SYMPTOMS OF AN INHERENT FLAW

To learn about the inherent flaw, which is the root cause for inconsistent performance, and how to confidently overcome it, download a complimentary of copy of: 

The Financial Markets Manifesto
(Available only through our sister site at Market Forecasting Academy)  
The Market Vulnerability Analysis™ Offers
Advanced Market Forecasting Solutions For:
The model also enables its user to quickly and easily spot undesirable conditions, by identifying the risks and vulnerabilities that form and evolve in real-time within any market and sector that can be displayed on price charts.

Users of the model can now accurately determine the quality of the market, as well as the probability of having a positive and profitable outcome for any "seemingly" good market indication, trade set-up or signal, before committing and getting stuck.
Individual Traders
Interested in using our model for:  
  • Cash Flow: Our model excels at enabling its user to confidently generate cash flow for income with consistency.
  • Wealth Building: Is the byproduct of reliable, repeatable profitability, compounded over time, while using our model to confidently avoid most substantial down periods that set your wealth building goals back by years.  
  • Retirement: There's no better solution than our model for pursuing a comfortable lifestyle in retirement, especially if you need to come from behind, due to market setbacks or other life challenges. 
Family Office / Institutional
Our model specializes in solutions for:
  • Capital Preservation: Is your #1 priority. Our model enables you to maintain stable and dependable returns in an ever-changing and rapidly evolving market.
  • Identify The Real-Time Vulnerabilities and Risks: With our model, you'll be able to confidently identify the supply/demand pressures that are forming and evolving against your interests before it's too late,

    This allows you to enter and exit your positions at optimal times, while avoiding most substantial corrections and market crashes along the way.
  • Beat Inflation With A Stable and Dependable Range of Results: Our model's ability to accurately identify hidden vulnerabilities, enables its users to significantly limit risk without limiting upside potential.

    This enables users to objectively forecast which opportunities are predisposed to produce consistently, so that they experience above-average market returns with dramatically reduced risk.
Sovereign Wealth Funds
All Institutional Benefits PLUS:
  •  Forecasting Vulnerabilities In Macro-Economic Sectors, Regions and Cycles: With our model, you'll be able to confidently rebalance and adjust for macro-economic variables before they expand or contract against your interests, due to the accuracy of the forecasts the model generates.
  • Dramatically Reduce Transactional Friction and Downside: Our model identifies otherwise hidden deep liquidity pools, which can be targeted to dramatically reduce slippage, transactional friction and downside risk exposure

The Market Vulnerability Analysis™ Offers
Advanced Market Forecasting Solutions For:
The model also enables its user to quickly and easily spot undesirable conditions, by identifying the risks and vulnerabilities that form and evolve in real-time within any market and sector that can be displayed on price charts.

Users of the model can now accurately determine the quality of the market, as well as the probability of having a positive and profitable outcome for any "seemingly" good market indication, trade set-up or signal, before committing and getting stuck.
Individual Traders
Interested in using our model for:  
  • Cash Flow: Our model excels at enabling its user to confidently generate cash flow for income with consistency.
  • Wealth Building: Is the byproduct of reliable, repeatable profitability, compounded over time, while using our model to confidently avoid most substantial down periods that set your wealth building goals back by years.  
  • Retirement: There's no better solution than our model for pursuing a comfortable lifestyle in retirement, especially if you need to come from behind, due to market setbacks or other life challenges. 
Family Office / Institutional
Our model specializes in solutions for:
  • Capital Preservation: Is your #1 priority. Our model enables you to maintain stable and dependable returns in an ever-changing and rapidly evolving market.
  • Identify The Real-Time Vulnerabilities and Risks: With our model, you'll be able to confidently identify the supply/demand pressures that are forming and evolving against your interests before it's too late,

    This allows you to enter and exit your positions at optimal times, while avoiding most substantial corrections and market crashes along the way.
  • Beat Inflation With A Stable and Dependable Range of Results: Our model's ability to accurately identify hidden vulnerabilities, enables its users to significantly limit risk without limiting upside potential.

    This enables users to objectively forecast which opportunities are predisposed to produce consistently, so that they experience above-average market returns with dramatically reduced risk.
Sovereign Wealth Funds
All Institutional Benefits PLUS:
  •  Forecasting Vulnerabilities In Macro-Economic Sectors, Regions and Cycles: With our model, you'll be able to confidently rebalance and adjust for macro-economic variables before they expand or contract against your interests, due to the accuracy of the forecasts the model generates.
  • Dramatically Reduce Transactional Friction and Downside: Our model identifies otherwise hidden deep liquidity pools, which can be targeted to dramatically reduce slippage, transactional friction and downside risk exposure

Our Vision
Our mission is to neutralize the risk and fear with the trading and investment process, so that our clients may access the wealth-generating power of the world's financial markets without exposure to the traditionally accepted draw-downs, substantial corrections and negative experiences that are historically and commonly associated with the markets.
We are proud to say that the biggest proof of our accomplishment, is the fact that over 90% of our growth as a firm, has come primarily through word of mouth referrals from our clients since 2011.
Meet The RBJ Team
Roger Khoury
Partner
Creator and Developer of
The Probability Analysis Layer™, 
 
The 3D Apex Predictive Failure Technology®, and Market Vulnerability Analysis™
Roger has had a diverse international background as an entrepreneur and business development consultant for small to mid-sized businesses. 

Since 1996 he has had a passion for the financial markets which he intertwined with his general business focus throughout his career. 

Over time, Roger began to use his unique insight, skills and multifaceted experience as a private investor/trader to fulfill a vision in creating his Probability Analysis Layer™ and 3D Apex Predictive Failure Technology® which formed the basis for Market Vulnerability Analysis™ 

Along the way, he realized how rewarding it was to share and leverage his specialized knowledge with others whose lives would be positively transformed by it. 

This also provided him the ability to build a business that could ultimately sustain itself without his constant involvement, and therefore enable him to pursue his diverse personal interests.  

His market analysis and forecasting methodology has proven to be a stable and reliable Investment/Trading Methodology since 2011. 

In 2019, Roger founded the Market Forecasting Academy to be more easily taught and supported. 

You're invited to connect with Roger on LinkedIn through the clickable LinkedIn Icon below. In the meantime, please review this site to Learn More! 
Bo Yoder, MBA
Partner
Bo Yoder is a career trader, a two-time author for McGraw-Hill, ("Mastering Futures Trading," as well as "Optimize Your Trading Edge") and has an MBA From Boston University.
Bo is a professional career trader, author, and consultant to the financial industry on matters of market analysis, trading and risk management. 

He has an MBA from The Boston University School of Management.  

Bo has been a featured speaker internationally at industry expos and has developed a reputation for the ability to trade live in front of an audience as a real-time example of what it is like to trade for a living, using a real money account.  

During his focus on trading in real-time, he simultaneously talks the audience through his thinking, analysis, and a moment by moment walk-through of what is evolving and the actions he's taking until his trade has resolved.  

In addition to his two books for McGraw-Hill, Mastering Futures Trading, and Optimize Your Trading Edge (translated into German and Japanese), Bo has written articles published in top publications such as TheStreet.com, Technical Analysis of Stocks & Commodities, Trader’s, Active Trader Magazine and Forbes to name a few.  

An active trader since 1997, Bo worked with Roger to learn his Methodology in 2011. He now uses it as his base for analyzing, filtering and managing his trades and investments.  

Bo is an active writer and mentor and is the Head Trader and asset manager for our proprietary trading operations.

Jared Goldstine, PhD
Partner
Dr. Jared Goldstine is an active trader and fund manager with a Bachelor of Science in Microbiology from UC Davis and a Ph.D. in Cellular and Molecular Pathology from UCLA.
Jared earned his Bachelor of Science in Microbiology at UC Davis while studying for a minor in Economics. He then received his PhD in Cellular and Molecular Pathology at UCLA, where he studied the molecular pathways of Alzheimer’s disease.  

Dr. Jared Goldstine then completed a Postdoctoral position in the Department of Radiology at UCLA, researching atherosclerosis and distal emboli in porcine models.  

During his time in academia, Jared continued his family tradition and became an avid stock trader.  However, he understood that there was more to trading than the traditional style of long-term stock buying handed down by his family.  

Therefore, for over a decade, Jared researched and learned different trading styles that helped him maximize his profits and minimize his losses.  

He then started working with Roger and quickly became a trading master of The Probability Analysis Layer™ and 3D Apex Predictive Failure Technology™ and Investment Methodology.  

Jared brings a focus on the scientific process to testing & strategy development while overlaying Roger’s proprietary market vulnerability analysis and filtration model.  

Jared is now a master trader and also oversees the accounting side of our firm.

Roger Khoury
Partner
Creator and Developer of
The Probability Analysis Layer™, 
 
The 3D Apex Predictive Failure Technology®, and Market Vulnerability Analysis™
Roger has had a diverse international background as an entrepreneur and business development consultant for small to mid-sized businesses. 

Since 1996 he has had a passion for the financial markets which he intertwined with his general business focus throughout his career. 

Over time, Roger began to use his unique insight, skills and multifaceted experience as a private investor/trader to fulfill a vision in creating his Probability Analysis Layer™ and 3D Apex Predictive Failure Technology® which formed the basis for Market Vulnerability Analysis™ 

Along the way, he realized how rewarding it was to share and leverage his specialized knowledge with others whose lives would be positively transformed by it. 

This also provided him the ability to build a business that could ultimately sustain itself without his constant involvement, and therefore enable him to pursue his diverse personal interests.  

His market analysis and forecasting methodology has proven to be a stable and reliable Investment/Trading Methodology since 2011. 

In 2019, Roger founded the Market Forecasting Academy to be more easily taught and supported. 

You're invited to connect with Roger on LinkedIn through the clickable LinkedIn Icon below. In the meantime, please review this site to Learn More! 
Bo Yoder, MBA
Partner
Bo Yoder is a career trader, a two-time author for McGraw-Hill, ("Mastering Futures Trading," as well as "Optimize Your Trading Edge") and has an MBA From Boston University.
Bo is a professional career trader, author, and consultant to the financial industry on matters of market analysis, trading and risk management. 

He has an MBA from The Boston University School of Management.  

Bo has been a featured speaker internationally at industry expos and has developed a reputation for the ability to trade live in front of an audience as a real-time example of what it is like to trade for a living, using a real money account.  

During his focus on trading in real-time, he simultaneously talks the audience through his thinking, analysis, and a moment by moment walk-through of what is evolving and the actions he's taking until his trade has resolved.  

In addition to his two books for McGraw-Hill, Mastering Futures Trading, and Optimize Your Trading Edge (translated into German and Japanese), Bo has written articles published in top publications such as TheStreet.com, Technical Analysis of Stocks & Commodities, Trader’s, Active Trader Magazine and Forbes to name a few.  

An active trader since 1997, Bo worked with Roger to learn his Methodology in 2011. He now uses it as his base for analyzing, filtering and managing his trades and investments.  

Bo is an active writer and mentor and is the Head Trader and asset manager for our proprietary trading operations.

Starting in 2020, The Partners of RBJ Financial Group will be focusing their efforts on supporting existing RBJ Financial Group clients and new clients of 
Market Forecasting Academy 
For details and information on the Market Forecasting Academy, please click below:
For Our Recommended Charting Platform and Financial Data Provider, Please See Our Resources Page by Clicking HERE 

NOTE: We only recommend what we believe to be one of the most user friendly, professional level charting platforms, which has a relatively short and easy learning curve. Click Here For Our Resources Page.
For Our Recommended Charting Platform and Financial Data Provider, Please See Our Resources Page by Clicking HERE 

NOTE: We only recommend what we believe to be one of the most user friendly, professional level charting platforms, which has a relatively short and easy learning curve. Click Here For Our Resources Page.
Our Vision
Our mission is to neutralize the risk and fear with the trading and investment process, so that our clients may access the wealth-generating power of the world's financial markets without exposure to the traditionally accepted draw-downs, substantial corrections and negative experiences that are historically and commonly associated with the markets.
We are proud to say that the biggest proof of our accomplishment, is the fact that over 90% of our growth as a firm, has come primarily through word of mouth referrals from our clients since 2011.
Meet The RBJ Team
Roger Khoury
Partner
Creator and Developer of
The Probability Analysis Layer™, 
 
The 3D Apex Predictive Failure Technology®, and Market Vulnerability Analysis™
Roger has had a diverse international background as an entrepreneur and business development consultant for small to mid-sized businesses. 

Since 1996 he has had a passion for the financial markets which he intertwined with his general business focus throughout his career. 

Over time, Roger began to use his unique insight, skills and multifaceted experience as a private investor/trader to fulfill a vision in creating his Probability Analysis Layer™ and 3D Apex Predictive Failure Technology® which formed the basis for Market Vulnerability Analysis™ 

Along the way, he realized how rewarding it was to share and leverage his specialized knowledge with others whose lives would be positively transformed by it. 

This also provided him the ability to build a business that could ultimately sustain itself without his constant involvement, and therefore enable him to pursue his diverse personal interests.  

His market analysis and forecasting methodology has proven to be a stable and reliable Investment/Trading Methodology since 2011. 

In 2019, Roger founded the Market Forecasting Academy to be more easily taught and supported. 

You're invited to connect with Roger on LinkedIn through the clickable LinkedIn Icon below. In the meantime, please review this site to Learn More! 
Bo Yoder, MBA
Partner
Bo Yoder is a career trader, a two-time author for McGraw-Hill, ("Mastering Futures Trading," as well as "Optimize Your Trading Edge") and has an MBA From Boston University.
Bo is a professional career trader, author, and consultant to the financial industry on matters of market analysis, trading and risk management. 

He has an MBA from The Boston University School of Management.  

Bo has been a featured speaker internationally at industry expos and has developed a reputation for the ability to trade live in front of an audience as a real-time example of what it is like to trade for a living, using a real money account.  

During his focus on trading in real-time, he simultaneously talks the audience through his thinking, analysis, and a moment by moment walk-through of what is evolving and the actions he's taking until his trade has resolved.  

In addition to his two books for McGraw-Hill, Mastering Futures Trading, and Optimize Your Trading Edge (translated into German and Japanese), Bo has written articles published in top publications such as TheStreet.com, Technical Analysis of Stocks & Commodities, Trader’s, Active Trader Magazine and Forbes to name a few.  

An active trader since 1997, Bo worked with Roger to learn his Methodology in 2011. He now uses it as his base for analyzing, filtering and managing his trades and investments.  

Bo is an active writer and mentor and is the Head Trader and asset manager for our proprietary trading operations.

The Partners of RBJ Financial Group will be focusing their efforts on supporting existing RBJ Financial Group clients and new clients of 
Market Forecasting Academy 
For details and information on the Market Forecasting Academy, please click below:
For Our Recommended Charting Platform and Financial Data Provider, Please See Our Resources Page by Clicking HERE 

NOTE: We only recommend what we believe to be one of the most user friendly, professional level charting platforms, which has a relatively short and easy learning curve. Click Here For Our Resources Page.
For Our Recommended Charting Platform and Financial Data Provider, Please See Our Resources Page by Clicking HERE 

NOTE: We only recommend what we believe to be one of the most user friendly, professional level charting platforms, which has a relatively short and easy learning curve. Click Here For Our Resources Page.
U.S. Government Required Disclaimer:
Commodity Futures Trading Commission: Forex, Commodities, Futures, Bonds, Stocks and Options trading has large potential rewards, but also large potential risk. Leverage can work for you as well as against you. You must be aware of the risks and be willing to accept them in order to trade and or invest in the Forex, Commodities, Futures, Bonds, Stocks and Options Markets. DO NOT TRADE AND OR INVEST WITH MONEY YOU CANNOT AFFORD TO LOSE. This is neither a solicitation nor an offer to Buy/Sell Currencies, Commodities, Futures, Bonds, Stocks or Options. No representation is being made that any account will or is likely to achieve profits or losses similar to those discussed on this web site. THE PAST PERFORMANCE OF ANY TRADING SYSTEM OR METHODOLOGY IS NOT NECESSARILY INDICATIVE OF FUTURE RESULTS.

CFTC RULE 4.41 - HYPOTHETICAL OR SIMULATED PERFORMANCE RESULTS HAVE CERTAIN LIMITATIONS. UNLIKE AN ACTUAL PERFORMANCE RECORD, SIMULATED RESULTS DO NOT REPRESENT ACTUAL TRADING. ALSO, SINCE THE TRADES HAVE NOT BEEN EXECUTED, THE RESULTS MAY HAVE UNDER-OR-OVER COMPENSATED FOR THE IMPACT, IF ANY, OF CERTAIN MARKET FACTORS, SUCH AS LACK OF LIQUIDITY. SIMULATED TRADING PROGRAMS IN GENERAL ARE ALSO SUBJECT TO THE FACT THAT THEY ARE DESIGNED WITH THE BENEFIT OF HINDSIGHT. NO REPRESENTATION IS BEING MADE THAT ANY ACCOUNT WILL OR IS LIKELY TO ACHIEVE PROFIT OR LOSSES SIMILAR TO THOSE SHOWN.

Please Read Our Full Disclaimer/Disclosures Through The Terms and Conditions Link Below:
Reproduction Without Written Permission Is Strictly Prohibited.
Copyright © 2011-2019 Roger Khoury. 
RBJ Financial Group © 2019. All Rights Reserved
U.S. Government Required Disclaimer:
Commodity Futures Trading Commission: Forex, Commodities, Futures, Bonds, Stocks and Options trading has large potential rewards, but also large potential risk. Leverage can work for you as well as against you. You must be aware of the risks and be willing to accept them in order to trade and or invest in the Forex, Commodities, Futures, Bonds, Stocks and Options Markets. DO NOT TRADE AND OR INVEST WITH MONEY YOU CANNOT AFFORD TO LOSE. This is neither a solicitation nor an offer to Buy/Sell Currencies, Commodities, Futures, Bonds, Stocks or Options. No representation is being made that any account will or is likely to achieve profits or losses similar to those discussed on this web site. THE PAST PERFORMANCE OF ANY TRADING SYSTEM OR METHODOLOGY IS NOT NECESSARILY INDICATIVE OF FUTURE RESULTS.

CFTC RULE 4.41 - HYPOTHETICAL OR SIMULATED PERFORMANCE RESULTS HAVE CERTAIN LIMITATIONS. UNLIKE AN ACTUAL PERFORMANCE RECORD, SIMULATED RESULTS DO NOT REPRESENT ACTUAL TRADING. ALSO, SINCE THE TRADES HAVE NOT BEEN EXECUTED, THE RESULTS MAY HAVE UNDER-OR-OVER COMPENSATED FOR THE IMPACT, IF ANY, OF CERTAIN MARKET FACTORS, SUCH AS LACK OF LIQUIDITY. SIMULATED TRADING PROGRAMS IN GENERAL ARE ALSO SUBJECT TO THE FACT THAT THEY ARE DESIGNED WITH THE BENEFIT OF HINDSIGHT. NO REPRESENTATION IS BEING MADE THAT ANY ACCOUNT WILL OR IS LIKELY TO ACHIEVE PROFIT OR LOSSES SIMILAR TO THOSE SHOWN.

Please Read Our Full Disclaimer/Disclosures Through The Terms and Conditions Link Below:
Reproduction Without Written Permission Is Strictly Prohibited.
Copyright © 2011-2019 Roger Khoury. 
RBJ Financial Group © 2019. All Rights Reserved