Using Money Management to Improve Your Trading Performance – David Stendahl

Stendahl, building on years of experience, demonstrates the key factors for minimizing risk and maximizing profitability through portfolio management methodologies.

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TAGS:
Signal Trading Group, David Stendahl
SKU:
MS22-00806
TOPIC:
MS Technical Analysis

Course Overview

Stendahl illustrates the fundamental aspects for lowering risk and optimizing earnings through portfolio management approaches, drawing on years of expertise. This course is more than just a guide to what size your next position should be; it also includes three easy evaluation methods to ensure consistent system performance.

Course Outline

  • The Importance of Money Management
  • Performance Analysis Process
  • Portfolio Analysis
  • Methodology Design
  • System Development
  • System Evaluation
  • Money Management
  • Conclusion

What Will You Learn?

  • Using your portfolio to remove fear and greed from your system
  • Techniques to analyze risk/reward calculations
  • Improve your system
  • Combining systems to meet your trading objectives
  • Tips for matching your system to your level of capitalization

Who Is This Course For?

Both novice and experienced traders

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