Risk is an inevitable part of trading—but the difference between winning and losing traders lies in how they manage it.
Futures trading offers exciting profit opportunities, but it also carries significant risks. Without a solid risk management strategy, even the most experienced traders can face substantial losses. The key to long-term success isn’t just about making profitable trades—it’s about protecting your capital, controlling exposure, and making strategic decisions that minimize risk.
Discover the proven risk management techniques that will help you trade with confidence and resilience, no matter the market conditions.
In this 1.5-hr webinar, you will learn:
✅ Essential risks in futures trading and how to manage them.
✅ Trading strategies as your first defense to manage risk with smart entries.
✅ Cutting losses: Using top techniques for minimizing risk and preserving capital.
✅ Mastering money management: Position sizing and capital control in futures trading.
This webinar is organised by Bursa Malaysia and managed by Axcelearn.
(This webinar will be conducted in English.)
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