RRISK MANAGEMENT I

2 times a month
every Tuesday and Wednesday

                    

For those who want to know more about risk management

                    

Anyone who wants to be successful in the market as an active trader requires sound risk and money management. In this seminar, you will receive the necessary basis to plan your monetary input and the risk involved in future investment decisions. Focus: Futures - Options - Options strategies

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What's in it?

                    


Videos, PDFs and Live explanations

Starting with the basics of RISKIO ASSESSMENT (
* Differences Risk and Money Management
* Types of risk
* Optimization of entry and exit
* Loss Limitation (Proper Use of Stop Loss Limits)
* Combination of calculated and chart-generated stops
* Quantitative Methods of Risk Management
* Concept of Risk of Ruin
* Money management techniques
* Practical examples and models
* Excel spreadsheets etc.
* Opening a trading account (demo mode)

The course starts on 01.07.2018 on Tuesdays and Wednesdays (1 week and 3 weeks per month)! Another visit is possible up to 6 months after first registration. Course duration 3 hours over 2 months.

All our offers are exempt from VAT according to Article 44 of the Belgian VAT Act and are considered as further education measures and are tax deductible in full from income tax (in-service training)

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Click here to order


RISK MANAGEMENT II

2 times a month
on Tuesdays and Wednesdays


For those who want to know more about risk management

                    

Anyone who wants to be successful in the market as an active trader requires sound risk and money management. In this seminar, you will receive the necessary basis to plan your monetary input and the risk involved in future investment decisions. The goal of integrating efficient risk and money management into your portfolio is to generate returns on a regular basis without incurring significant losses. Focus: Stocks - Stock Options - Options Strategies

.


What's in it?

                    


Videos, PDFs and Live explanations

Repetition: Fundamentals of Risk Management

* Deepening risk and money management
* Specialization Risk Types
* Deepening optimization of entry and exit through Equity Curve Analysis (ECA)
* Loss limitation (correct use of stop loss limits)? Is it really necessary?
* Combination of calculated and chart-generated stops (basis open end)
* Quantitative methods of risk management
* Concept of Risk of Ruin (base open end)
* Money management techniques (base open end)
* Martingale strategies
* Average Cost Effect (Cost Average) (Base open End)
* Antimarting strategies
* Practical examples and models to apply to your own portfolio
* Excel spreadsheets etc.
* Opening a trading account (demo mode)

(Base open end means keeping the position open on the market until it is profitable again!)

Beginning of the course is on 01.07.2018 on Tuesdays and Wednesdays (2 weeks and 4 weeks a month)! Another visit is possible up to 6 months after first registration. Course duration 3 hours over 2 months.

All our offers are exempt from VAT according to Article 44 of the Belgian VAT Act and are considered as further education measures and are tax deductible in full from income tax (in-service training)

.

Click here to order


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