CFD and Leverage Risk - Who has good ways to manage it?
แปลอัตโนมัติจากต้นฉบับ · อ่านต้นฉบับ (English)
Hello everyone in the CFD room,
I've just started studying CFD for a while, and what's always on my mind is leverage. I understand it's a double-edged sword that allows us to trade much more than our capital, but sometimes I feel it's really too much. It's like we're playing a game where real money can disappear in the blink of an eye.
Whenever I plan to trade $EURUSD or anything else, I always stumble upon the same question: “Am I really taking appropriate risks?” Sometimes it feels like position sizing isn't enough. I have to meticulously plan stop-losses to prevent my portfolio from collapsing.
Does anyone here have good strategies or risk management systems for high-leverage CFDs? Or are there any techniques that make us feel safer in trading? Like, not having to worry so much that you can't sleep?
Thanks in advance for your advice.