Risk Management
• Position Sizing:
• Risk no more than 1–2% of your total portfolio on this trade.
• Example: For a $50,000 portfolio, limit the risk to $500–$1,000.
• Risk-Reward Ratio:
• Aim for a minimum of 1:2 or 1:3 risk-reward ratio (e.g., risking $1.50 to gain $3.00).
Supply and DemandSupport and ResistanceTrend Analysis

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