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.
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