Could anyone give their thoughts on risk management, which looks to be crucial in trading? What are the basic guidelines to follow in order to avoid losses?
As expected BN below 44044 showing weakness !
Some days back, I was expecting posible double bottom around 42800 !
Let us see !
Not a reco ! Just a thought !
Now should posible supports be at 43400 and then 43250 ???
Instead of hanging around and stuck in a narrow range, will it not better for N to clear the gap-dust left behind and give a dip around 19630 and then 19555 and a swift broom air around 19222 ???
Instead of hanging around and stuck in a narrow range, will it not better for N to clear the gap-dust left behind and give a dip around 19630 and then 19555 and a swift broom air around 19222 ???
Could anyone give their thoughts on risk management, which looks to be crucial in trading? What are the basic guidelines to follow in order to avoid losses?