Financial markets have become increasingly turbulent over the last few months. This means that traditional long-term buy and hold strategies are much less effective. Traders who can adapt to these turbulent conditions and use the volatility to their advantage will prosper.
This seminar will discuss what volatility is and how to manage risk during these times, plus it will take a look at some trading strategies.
Key features
- Risk management
- 2% Rule
- Volatility Entry
- VIX
