How to effectively control stock trading risks and practical skills

The volatile stock market is constantly filled with risks, so a qualified stock trader should have risk awareness and be prepared to control risks. So, how can we effectively control stock trading risks? Summarized the following viewpoints, hoping to help everyone.

Firstly, psychologically, in the current market situation, everyone must maintain a calm and stable attitude, avoid impatience, and actively overcome the pessimistic mentality caused by poor market conditions.

Then, in terms of technology, without a professional set of techniques that suits oneself, one should not buy a stock immediately after selling it for profit or stop loss, and should not blindly chase after the rise and rush to rebound.

In addition, in the current market situation, it is best to maintain a position of 30-60% for operations. Heavy positions may yield significant returns, but the relative risks may also increase. It is better to hold a small amount of stocks and operate flexibly with light positions.

Finally, on the news front, when the market is unstable, we should find ways to obtain the latest market information to help everyone analyze the market. We must learn to take profits and stop losses, and clearly distinguish and understand the market.

Finally, a friendly reminder: all articles are based on personal opinions and are for reference only. The stock market carries risks, so investment needs to be cautious. Koufu.com wishes all stock investors happiness and abundant wealth every day.