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Risk Management

Risk management in trading refers to the process of identifying, assessing, and controlling potential risks associated with a trade or investment that may impact an investment portfolio. It is an essential aspect of financial planning and decision-making, as it can help investors and financial institutions to mitigate potential losses and maximise returns.

Effective risk management in trading involves a combination of strategies, including setting stop-loss orders, diversifying investments, and implementing sound money management principles

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