Question about position management in CFD.
แปลอัตโนมัติจากต้นฉบับ · อ่านต้นฉบับ (English)
I've just started trading CFDs not long ago. Sometimes I profit, sometimes I lose, but lately I feel like the losses are heavier than they should be. It's like I can't fully control the risk yet. I understand R-multiple and position sizing roughly, but I want to know if anyone here, besides setting SL, has any techniques to control the size of the trade to match our actual capital? Or is it enough to just record how much each trade entered?