Discover the ins and outs of making smart decisions by understanding the risk exposure in trading. This webinar will break down the essential role risk plays in influencing trading decisions and therefore trading results, helping you to navigate the complexities of financial markets and master effective risk management strategies.
By understanding your risk preferences and aligning them with your goals, you can fine-tune your approach to trading. In addition, our speaker will guide you through the process of how to calculate and adjusting trade size—a crucial skill for optimal risk management and long-term success in the dynamic world of trading.
In this 1.5-hour webinar, you will learn:
✅ A comprehensive exploration of risk exposure and its crucial role in trading decisions.
✅ Unravelling the concept of “desired” risk and how it shapes your overall trading strategy.
✅ Distinguishing between trade risk and portfolio risk.
✅ Calculating and adjusting trade size for optimal risk management and trading success.
This webinar is organised by Bursa Malaysia and managed by Axcelearn.
(This webinar will be conducted in English.)
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