Tag Archives: Risk management

Trading Contracts for Difference (CFDs): A Comprehensive Guide

Contract for difference trading

What is CFD Trading? Introduction to Contracts for Difference Welcome to our comprehensive guide on trading Contracts for Difference (CFDs). In this article, we will provide you with a detailed overview of CFD trading, explaining the concept, benefits, risks, and strategies involved. Whether you are a novice trader looking to explore CFDs or an experienced […]

Day Trading Strategies

Day Trading strategies

Are you interested in day trading? Do you want to learn strategies that could help with your trading in the fast-paced world of trading? In this article, we will outline a number of day trading strategies that could assist with your trading. Whether you are a beginner or an experienced trader, these strategies can provide […]

Low Spreads? Keeping Your Trading Costs Down

Low Spreads Keeping Your Trading Costs Down

What Is Considered a Low Spread? The spread is often the bane of a trader’s existence. Not accounting for spread can make an otherwise successful trading strategy into a losing one, and failing to check the spread before entering a trade during a period of increased volatility can leave you in a very uncomfortable position. […]

Effective Risk Management

Trading Charts in black and white

Effective Risk Management So you’ve been trading for months now, you’re generating revenue and have successfully managed to build up your trading portfolio with minimal CFD trading strategies. Sounds great doesn’t it? But what if on one trading day, a spontaneous, unexpected event occurs and share prices crash, you haven’t implemented any stop loss orders, […]