13.12.2024
14:00 GMT+ 2
Zoom
In this webinar, we’ll explore the fundamentals of risk management, an essential component of successful trading. You’ll learn how to control risk by using tools such as stop-loss and take-profit orders, as well as determine the optimal position size for each trade. We’ll cover key concepts such as risk-to-reward ratios, expectancy, and managing emotional responses to risk. By the end of this session, you’ll have the skills to develop a risk management plan that safeguards your capital while balancing risk and reward.
Learning Outcomes:
By the end of this webinar, you will:
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Sorry,
we don't accept client from this country