risk management

  1. Nikhil Dogra

    Volatility Day Trading

    Volatility trading is simply buying and selling the expected future volatility of the instrument. Rather than predicting whether the price of an asset will move up or down, volatility traders are concerned with how much movement, in any direction, will occur. The most common way to trade...
  2. M

    How to manage risk and money in highly leveraged instruments

    Trading derivatives like future have high risk and reward . Because futures are highly leveraged instruments we have to take extra precautionary measures comparing to an equity. In regarding this what kind of risk and money management we should follow when we are trading highly leveraged...
  3. internet_fanbboy

    How would you go about trading 20 lacs in Futures for a 4-5% Monthly Return ?

    How would the split between StockFutures, IndexFutures, IndexOptions, Commodities and Currency be ? (Any other instruments ?) What sought of Checks should one put on Trades, Account Balance, Drawdowns, Exposures etc. ? What sought of Money Management approach be used ? Is Averaging a...
  4. M

    Hello everybody

    I am a new user and it's enough
  5. P

    Legging Risk - Your Experience

    Hi All, I haven't seen much on this important topic of options trading, traderji.com. I suppose you know about the legging risk already, and in the web you get quite a lot of material. I am not interested in that. I would like to know from your real experience:) Because every market at all...
  6. F

    Hi all of You

    Hi All! Glad to find this forum. I am a long term / fundamental investor. This is because I have little time to spend with my investments, can't trade all day because my work. I am trading with stocks on the secondary market. I make trading decisions on fundamental grounds and I have been...
  7. S

    Softwares for Risk Management (Pre Deal checking)?

    Hi , we are looking for software which can help in doing Pre deal checking before abuying commodity or equities. we want to calculate the credit / market risk of a deal , manage collateral and have a workflow based functionality. Please let me know if you have heard or used such kind of...
  8. A

    Trading Predicament

    Dear All, I am facing perhaps the paradox of my life. It goes like this: I want to push myself away from the trading screen as much as possible, i.e I want to work on a higher time frame rather than a lower time frame. The primary reason being, my decision making skill is a glorious mess...