Upload
technicalanalysis
View
103
Download
3
Embed Size (px)
Citation preview
A Technical Analysis Book ByBrian Shannon
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.
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
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
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