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Les CFD sont des instruments complexes et sont accompagnés d’un risque élevé de pertes financières rapides en raison de l’effet de levier. 77,3 % des comptes d’investisseurs particuliers perdent de l’argent en tradant des CFD avec ce fournisseur. Vous devez déterminer si vous comprenez comment fonctionnent les CFD et si vous pouvez vous permettre de courir le risque élevé de perdre votre argent.
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webinar_new_accountUnderstanding Risk vs. Reward: Learn how to strike the right balance between risk and reward in your trading endeavors.
Position Sizing Strategies: Explore different position sizing methods, including fixed lot size, percentage risk, and risk-adjusted position sizing.
Setting Stop Losses and Take Profits: Discover best practices for setting effective stop-loss and take-profit levels to manage risk and optimize trade outcomes.
Risk Mitigation Techniques: Explore advanced risk mitigation techniques, such as partial closing, trailing stops, and hedging strategies.
Psychology of Risk: Understand the psychological aspects of risk management and how to maintain discipline during volatile market conditions.
Case Studies: Analyze real-world trading scenarios to illustrate the importance of sound risk management practices.
Interactive Discussion: Engage in discussions with our expert traders and fellow participants to share insights and experiences.
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