Risk Management is a fundamental component of successful CFD trading. Time and again we see traders focusing too heavily on their entry position without having an exit plan.
This seminar will focus on your trade exit strategy; how to get out of losing trades and stay in winning positions.
Risk management and money management are intricately linked. We recommend you view the Money Management seminar following this one.
Key features
- Stops for Capital Protection
- Volatility Stops
- Trailing Stops
- Range Trading
