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Risk Management Managing risk is a critically important component to long term trading success. Risk management is employed to ensure that no single position can ever have a significant detrimental impact on a stock and option trades portfolio. Each Trade Alert will detail prudent risk management guidelines.
“Rule No.1: Never lose money. Rule No.2: Never forget rule No.1” Warren Buffett
Strategy Selection Our proven strategies are designed to profit in any market trend. Strategies may take the form of options trades or options trades in conjunction with stock positions and we will always specify the risks and rewards associated with each position. In the event a trade moves unexpectedly we will detail our adjustment process through Trade Updates.
Accompanying each Trade Alert will be exit points that control the emotional aspects of trading. We will specify exactly what profit is targeted in addition to what action can be taken in order to minimize a loss or maintain a profit should a trade move unexpectedly.
Adjustment Strategies While we fully expect our Trade Alerts to be profitable based on initial expectations, we also recognize that unexpected movements can occur which could detrimentally affect issued trades. As a result, we plan for such occurrences through adjustment strategies that can be invoked on any one of the many strategies we employ. These adjustments offer a means of repairing the underlying trade and are critical to our trading system.
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