Posted on 06 December 2010
I have been getting a lot of comments, questions and emails about money management as of late with the market becoming very volatile. This article will show you the most important mathematics you will need to learn to have good money management in learning how to trade this market. Risk of Ruin The Risk of [...]
Tags: Forex, forex trading, managing your trades, money management, money management tips, risk in trading, Stocks, trading positions
Posted on 22 November 2010
Trade Session Review Example Following on from Part One at this link: http://www.yourtradingcoach.com/Articles-Business-Management/Effective-Trading-Session-Review-1-of-2.html, let’s look at an example of a missed trade. The example is the open of the UK session on April 6th, 2010, which provided us with a beautiful Asian session breakout failure trade. The three blue horizontal lines represent pre-session support and [...]
Posted on 18 November 2010
One of the greatest processes you have at your disposal, for maximizing your learning and fast-tracking your development as a trader, is your review process. Let’s have a look at how I recommend you carry out this often-neglected part of your daily trading routine… For too many traders, the review process is simply entering their [...]
Tags: Market Environment, Market Structure, Market Trend, Term Strategy, Trade Opportunity, Trading, Trading Session, Trading Strategy
Posted on 08 November 2010
Introduction to Option Selling By Carley Garner, author of “Commodity Options” and “A Trader’s First Book on Commodities” Options offer traders an unlimited number of strategies with various levels of risk and reward. Unfortunately, many retail traders are stuck in a long option only “rut” and may not be aware of the potential flexibility offered [...]
Tags: Call Option, Commissions, Commodities, Commodity Options, Futures Price, Option Strategies, Option Trading, options, Retail Traders, Risk And Reward, Risk Management Techniques, Trading, Volatility