key risk management

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Thread: key risk management

  1. #1
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    Default key risk management

    key risk management
    Trader should not allow any trade to risk more than 10% of their total account equity. They need to live to trade another day, and have room to recover if it goes wrong. Target a reward/risk ratio of at least 2:1 so their potential reward exceeds the risk on each trade. My broker AAFX provides me low floating spreads from 0 pips on all types of accounts.

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    There are different policies to be maintained in Forex market including money management and risk management. Risk management is the most considerable issue indeed. I frequently maintain it in trading through trading with low spread, avoid news trading and EA trading indeed. I am currently trading with Trade12 with whom I am enjoying lowest trading spread, flexible high leverage like up to 1:400, superior fast execution, flexible margin level etc which help me minimize risk.

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    Ogni trader mantiene il proprio rischio di trading in base alla propria strategia. Ma lo standard di mantenimento del rischio è su una media del 10% del capitale netto di negoziazione per ogni operatore. Perché il commercio attuale non è quello che stanno facendo. TradesFX mi aiuta nel mio rapporto di rischio. Come uno scalper mi muovo molto velocemente e per profitto molto piccolo. COSÌ, per me il trading spread stretto è molto importante che sto ottenendo dal mio broker che è spread di 0.9 pips.

  4. #4
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    When we are thinking about forex trading; one thing may come to our minds: how to minimize risks of losing money. Due to fear of losing money; many potential traders can't take proper trading decisions. These risk adverse investors and in general; small-retail traders should use proper risk manage modules to avoid unwanted loss of their hard earned money. And hedging; stop loss; trails stop or take profit; etc. all are used as risk management tools today.

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