Drawing on years of experience, Stendahl highlights the key elements for reducing risk and maximizing profits through portfolio management techniques. More than Just a guide to what size your next position should be, this booklet features ...- 3 simple evaluation methods to ensure consistent system performance - Using your portfolio to remove fear and greed from your system - Techniques to analyze risk/reward calculations - and improve your system - Combining systems to meet your trading objectives - Tips for matching your system to your level of capitalization - And many more methods for analyzing and improving your trading performance.Plus, examples, tables, charts, and a full resource guide to help you understand all the profit-packed concepts presented.
- | Author: David Stendahl
- | Publisher: Marketplace Books
- | Publication Date: Feb 01, 1999
- | Number of Pages: 90 pages
- | Binding: Paperback or Softback
- | ISBN-10: 1883272300
- | ISBN-13: 9781883272302