Risk and Money Management for the Active Trader

  • Thu 16 May 2019
  • 7.00pm (EST)
The use of leverage in CFD trading can allow a trader to gain a far larger stake in a market than they would otherwise have been able to. However, leverage is a double-edged sword that can magnify potential profits whilst also magnifying potential losses. 
To achieve consistency in CFD trading, a trader often needs to implement a rigorous risk and money management plan to safeguard their capital against the unbridled use of leverage. 
In this webinar you will learn:
  • The “Why” and “How” of leverage;
  • How to reduce the risk of using leverage;
  • Developing a risk and money management plan for CFD trading;
  • Live platform tour and market analysis on the hot global markets in the Next Generation platform.

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