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A Technical Analysis Book By Brian Shannon How to Utilize Risk Management?

How to utilize risk management

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Page 1: How to utilize risk management

A Technical Analysis Book ByBrian Shannon

How to Utilize Risk Management?

Page 2: How to utilize risk management

What is risk management in stock market?Stock market is a combination of returns and risks. Generally, it is said that greater the risk, greater the return. There are usually two types of risk:

• Inflation risk – results from price rise or fall of services and goods• Market risk – results via decrease or increase of financial market

Risk management is the combination of several strategies and systems to diminish and overcome the risks involved in stock market.

Page 3: How to utilize risk management

How to utilize risk management?Do you know how to utilize risk management? The following are a

few strategies that can be incorporated for the same:

• Stop loss – a device that can assist to prevent the loss of money• Follow the ongoing and certainly changing market trends – one

of the best methods to curtail stock market risks• Portfolio diversification – a proven strategy for risk management

to broaden the horizons of risk by simply investing in a portfolio

Page 4: How to utilize risk management

Technical Analysis BookTechnical Analysis Book by Brian

Shannon that gets you acquainted with:

• Estimate profit potential in trades

• Identify low risk high profit setups in stocks

• How to utilize risk management to lessen losses and maximize profits

Page 5: How to utilize risk management

Chapters in Technical Analysis

• Introduction• Technical Analysis• The Four Stages• Market Trends & Volume• Moving Averages & Time• When & How to Buy & Sell Short• Fundamentals & News• Risk Management Strategies• Rules & Insight