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Mastering Risk: Strategies to Manage Your Trading

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This course is focused on managing risks associated with forex and CFD trading. It covers risk management techniques such as setting stop-loss orders, calculating position sizes, and diversifying a trading portfolio. The course also discusses identifying and managing different types of risks, such as market, credit, and operational risks. Our class will examine stocks, commodities, and indices, including precious metals and energy.


Barry Norman

The Director of Investors Trading Academy as well as a published author and educator. Barry brings with him over 35 years of financial market knowledge and experience. He holds an MBA in Finance and Economics from UCLA and an undergraduate degree in Economics from the University of Maryland. Barry was awarded the title of “Best Education in Europe” by Global Banking & Finance. Barry is also a presenter for the MoneyShow and many well-known news sources.
Mastering Risk: Strategies to Manage Your Trading
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