STOP LOSS STRATEGIES THAT ACTUALLY WORK Audiolibro Por CAPITAL ACADEMIE Editions arte de portada

STOP LOSS STRATEGIES THAT ACTUALLY WORK

Learn how to protect your trading capital, cut losses with discipline, and use stop-loss strategies that help you stay in the market longer.

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STOP LOSS STRATEGIES THAT ACTUALLY WORK

De: CAPITAL ACADEMIE Editions
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Learn how to protect your trading capital, cut losses with discipline, and use stop-loss strategies that help you stay in the market longer.

Many traders focus on entries, indicators, breakouts, and profit targets. But the traders who survive are often the ones who know exactly when to exit.

Without a clear stop-loss strategy, one emotional decision, one unexpected market move, one gap, or one overleveraged trade can erase weeks or months of progress.

Stop Loss Strategies That Actually Work: Minimize Risks, Maximize Profits is a practical guide for traders who want to manage risk with structure, protect capital, and build a more disciplined trading process.

This book shows you how to use stop-loss orders intelligently across different markets, trading styles, volatility conditions, and psychological pressure points.

Inside, you will discover how to:
  • Understand the foundations of risk management and why stop-loss strategies are essential for capital preservation

  • Identify key trading risks, including market risk, liquidity risk, credit risk, operational risk, volatility risk, and emotional risk

  • Use fixed stop-losses, trailing stop-losses, stop-limit orders, volatility-based stops, and ATR-based stop placement

  • Set effective stop-loss levels based on market conditions, support and resistance, technical indicators, risk tolerance, and trading style

  • Apply stop-loss strategies for day trading, swing trading, position trading, forex, equities, futures, commodities, options, and volatile markets

  • Calculate risk/reward ratios and align stop-loss placement with realistic profit targets

  • Use moving averages, Fibonacci retracements, Bollinger Bands, Ichimoku Cloud, VWAP, RSI, MACD, and ATR to improve stop placement

  • Leverage technology, trading platforms, automation, alerts, backtesting, analytics tools, AI, and predictive models

  • Control fear, greed, overconfidence, loss aversion, stress, and emotional decision-making

  • Review, adapt, and improve your stop-loss strategy through journaling, performance tracking, feedback loops, and continuous learning

Stop guessing your exits

A trade without a stop-loss is not a strategy. It is exposure.

This book helps you think before you trade: Where is my invalidation level? How much can I lose? Is my stop too tight? Is it too wide? Does volatility justify this level? Am I following my plan or reacting emotionally?

You will learn how to create stop-loss rules that protect your capital without closing every trade too early.

The included 30-Day Action Plan helps you apply the lessons step by step: reviewing trading risks, testing stop-loss orders, setting stop levels, using trailing stops, exploring automation, strengthening discipline, reviewing case studies, and building a complete stop-loss framework.

This book is ideal for:
  • Beginner traders who want to protect their capital from the start

  • Day traders, swing traders, forex traders, futures traders, options traders, and stock traders

  • Traders struggling with poor exits, emotional losses, overleveraging, or inconsistent discipline

  • Active investors who want stronger risk management and better trade protection

  • Anyone ready to stop hoping and start managing risk with structure

Profits matter. But protection comes first.

Start reading today and learn how to use stop-loss strategies with greater discipline, confidence, and control.

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