
About this episode
Episode 14:
On today's show I speak with Matt Petrallia, CMT, swing and position trader for over 20 years and owner of Trading Equilibrium, and Jack of Alpha Charts 365.
Risk management is a paradigm. A mindset. Remember it is always about what it costs you. Your financials and your peace.
Beware of 2 axioms: "Let Your Winners Run" and "Buy the Dip"
It is always about what you keep. Your net.
We talk about:
- What is "total open risk"?
- What factors help you determine when to be aggressive and when to be defensive?
- When do you step back entirely and take a break and trade less?
- What changes/adjustments, if any, have you made in the current environment?
- Do you use leverage or avoid it? Do you hedge against your position?
- What are your "expectations? Reality based expectations are central to risk management as well as "expectation alignment"
- How do you reduce emotional trading (Reduce as we cannot eliminate as we are human)?
- Use your emotions in a positive way. Channel them!
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