How I use Position Sizing and Risk Management to Always Stay Profitable

Описание к видео How I use Position Sizing and Risk Management to Always Stay Profitable

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➡️ In this enlightening trading seminar, we will delve into the often-overlooked yet critical emotional aspects of our trading journey. You'll learn risk management and position sizing. I will explore strategies for adjusting winning trades, including techniques like fixed percentages, fixed dollar amounts, and even the Martingale System!

00:37 - Recognizing the Crucial Role of Emotions in Trading
02:42 - Emotional Responses During Winning and Losing Trades
05:23 - Understanding Loss Aversion and Its Impact
08:14 - Addressing Overconfidence Bias and Its Pitfalls
10:22 - Key Criteria for Adjusting Trades: Breakouts and Trends
11:52 - The Importance of Focusing on Adjusting Winning Trades
13:32 - Seizing Opportunities When the Market Proves Right
15:02 - Different Conditions for Adding Exposure in Trades
16:23 - Pyramid Strategy and Volatility-Based Adjustment Approaches
21:03 - Exploring the Martingale System and Its Pros and Cons

⚠️ Disclaimer: Trading involves risks, and viewers are advised to conduct thorough research and seek professional advice before making any investment decisions.

#positionsizing #riskmanagement #triading

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