- Accueil
- Communauté
- Général
- Money Management Tips
Edit Your Comment
Money Management Tips
Membre depuis Jul 23, 2020
posts 816
Membre depuis Jun 15, 2021
posts 8
Membre depuis Jun 26, 2020
posts 323
Jul 13, 2021 at 23:38
Membre depuis Apr 03, 2021
posts 437
Tradelist45 posted:
i have a very common and boning question as like others , there is any major difference between money and risk management ? its all about same issue or any major difference between two ?
Money management is included in early trading preparation before making a deposit trader need to watching the amount saving money, don't use all saving money in forex but only spent money that affords to lose, money management in trading included how to chose position size, meanwhile, risk management is preparation about the risk, usually trader using stop loss to manage the risk.
Membre depuis Jul 01, 2021
posts 7
Jul 16, 2021 at 04:14
Membre depuis Apr 15, 2020
posts 187
sopranoberidze posted:
The best money management strategy is to stop trading immediately. That is the only way to minimize losses. Almost everyone loses at Forex
Thats not the fact. People loose because they do not trade sensibly and just jump to conclusions without prior analysis.
The more your practice, the more you learn.
Membre depuis Jun 26, 2020
posts 323
Membre depuis Jun 08, 2021
posts 10
Membre depuis May 19, 2020
posts 321
Jul 22, 2021 at 12:17
Membre depuis May 19, 2020
posts 321
- Several stages of market analysis
- Calculation of probable risks
- Calculation of market entry parameters based on analysis and possible risk
- News monitoring
- Probable exit points calculation and selection of the most profitable scenarios
- Calculation of probable risks
- Calculation of market entry parameters based on analysis and possible risk
- News monitoring
- Probable exit points calculation and selection of the most profitable scenarios
@Marcellus8610
Jul 22, 2021 at 12:37
Membre depuis Jul 22, 2021
posts 8
MarcellusLux posted:
- Several stages of market analysis
- Calculation of probable risks
- Calculation of market entry parameters based on analysis and possible risk
- News monitoring
- Probable exit points calculation and selection of the most profitable scenarios
Those are great points. Could you be more specific on how you quantify these risks? and use them for actual trades
Jul 22, 2021 at 18:54
Membre depuis Jul 22, 2021
posts 4
CatWalker posted:MarcellusLux posted:
- Several stages of market analysis
- Calculation of probable risks
- Calculation of market entry parameters based on analysis and possible risk
- News monitoring
- Probable exit points calculation and selection of the most profitable scenarios
Those are great points. Could you be more specific on how you quantify these risks? and use them for actual trades
or just trade news =)
Jul 23, 2021 at 07:42
Membre depuis Jul 07, 2021
posts 40
Money management is very very important, and so it risk management. They need to go hand in hand. You also need to have some proper knowledge of the market. Money management will be based on a plan that you have, and as you said every trader will have his ir her own plan, such as not exceeding 2% of your capital in any trade.
Membre depuis Mar 17, 2021
posts 494
Membre depuis May 19, 2020
posts 321
Jul 23, 2021 at 18:56
Membre depuis May 19, 2020
posts 321
CatWalker posted:MarcellusLux posted:
- Several stages of market analysis
- Calculation of probable risks
- Calculation of market entry parameters based on analysis and possible risk
- News monitoring
- Probable exit points calculation and selection of the most profitable scenarios
Those are great points. Could you be more specific on how you quantify these risks? and use them for actual trades
The risk analysis is based on technical and fundamental analysis of the current market situation. At the same time, I take into account market volatility, the impact of possible historical levels and the psychology of market participants (investor sentiment). This allows me to get data on the current market position and assess the future prospects for the development of different scenarios. The start position of gain/loss I try to adhere to is 3/1
@Marcellus8610
Membre depuis Jul 20, 2020
posts 385
Membre depuis May 19, 2020
posts 321
Jul 26, 2021 at 11:21
Membre depuis May 19, 2020
posts 321
Money management it's more about lot size, instruments chosen, funds allocation, portfolio building, but risk management includes evaluation of possible scenarios, assessment of probably losses related to these risks, using stop orders and RRR calculation.
@Marcellus8610
*Lutilisation commerciale et le spam ne seront pas tolérés et peuvent entraîner la fermeture du compte.
Conseil : Poster une image/une url YouTube sera automatiquement intégrée dans votre message!
Conseil : Tapez le signe @ pour compléter automatiquement un nom dutilisateur participant à cette discussion.