Date held: Sunday, 30th September, 2012.
Length: 92 minutes.
This webinar explains how to understand the market correlations and the news flows affecting the market
to increase trader profitability. We discuss:
- The concept of "Risk on/Risk off" and what this means
- Which markets are correlated and what this means for your risk management
- How I position into and out of the news
- Are technicals more important than fundamentals?
- Market rumours and the most effective way to trade them
- Understanding market sentiment and spotting when it is out of control
Sign up information:
The cost of this webinar is £14.99.
IMPORTANT NOTE: Before making payment, please read the Risk Disclaimer and the Terms and Conditions.
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