Risk Management
This is what you may call a “soft” course focused on good discipline, self-control, yada yada. Make no mistake – the stuff we discuss in this course can make or break your investments. We cover some broad issues that every trader must overcome regardless of what markets they trade in, and then there are several specific challenges and pitfalls in the Options market itself. Risk Management is the single most important factor between success and failure. In fact, you could say – In the markets, don’t even think of profits. If you learn to control your losses, your profits will automatically come to you. This is not meant to be a joke.
This is another Stock and Option combo strategy that will enable you to buy Stock at much lower prices that what its currently trading for in the Market. This strategy can also be repeated consistently to pick up Stock you’re interested in. This is particularly useful for Stock traders who are used to a Buy and Hold strategy, but can pick up stock at very low prices
Course Details
How to assess Risk in Option positions
Emotional battles within yourself
Planning ahead for all outcomes
Portfolio allocation and position allocation
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