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Luca Barchi
已发布产品
The Problem It Solves Anyone trading multi-day positions on CFDs, Forex, Indices, or Commodities faces two crucial questions every single day: "How many lots should I open to risk exactly 1% (or 2%, or 0.5%) of my capital?" "If I open this position, how much margin is required, and what will my Margin Level look like?" Calculating all of this manually — especially under pressure with a moving market — often leads to costly mistakes: oversized position sizes, underestimated margin requirements
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