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David C Stendahl – Money Management Strategies For Serious Traders

David C Stendahl – Money Management Strategies For Serious Traders
David C Stendahl – Money Management Strategies For Serious Traders

Traders can typically describe the methods they use to initiate and liquidate trades. However, when forced to describe a methodology for the amount of capital to risk when trading, few traders have a concrete answer. Some make vague references to experts that recommended risking one or two percent of portfolio equity on any trade. Others […]

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Curtis Faith - Way of the Turtle

Traders can typically describe the methods they use to initiate and liquidate trades. However, when forced to describe a methodology for the amount of capital to risk when trading, few traders have a concrete answer. Some make vague references to experts that recommended risking one or two percent of portfolio equity on any trade. Others rely on intuition to determine when to increase position size on a particular trade, always risking different amounts. Experienced traders learn that as important as it is to have an effective method to determine when to trade, it is equally important to develop a methodology to determine how much to risk. A trader that risks too much; increases the chance that they will not survive long enough to realize the long run benefits of a valid trading strategy. However, risking to little creates the pos

sibility that a trading methodology may not realize its’ full potential. Therefore, while a positiveexpectation may be a minimal requirement to trade successfully, the way in which yu exploit that positive expectation will in large part determine your success as a trader. This is, in fact, oneof the greatest challenges for traders.

     

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  • عنوان مقاله : ...David C Stendahl - Money Management
  • نوع فایل : PDF
  • حجم فایل : 8.8 مگابایت

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