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