Hi, I'm organising Risk management workshops for beginers, the main topics I'm talking about are: The importance of risk management for longevity and success in the crypto space. Effective management of liquid assets and adaptation to market changes. Formulating a clear and calculated investment plan based on historical data, with critical buy and sell levels. Recognizing the right time to cut losses and invalidate trades. What would you add to this curriculum?
An essential part of risk management is the development of a hypersensitive BS detector. (so much misleading info in the world these days)
Go long and HODL with no margin. That's it in a nutshell according to many crypto folks here. See? And nobody had to pay for a workshop. KISS.
What risks do traders face. Have a discussion of all the risks that a trader might come across. What risks does the trader have any control over. What methods can the trader use to control thoses risk.
Good Morning Edgeframe, Please add the following to the curriculum How to recover drawdown within X days? X equals max 2 days. Thank you,