Date held: 30th September, 2012
Run Time: 92 minutes
This webinar explains how to understand the market correlations and the news flows affecting the market to increase trader profitability. I 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
Purchase Individual Webinar
Purchase this individual webinar for £17.99
Before making payment for any of the individual webinars or the complete series,
please read the Risk Disclaimer and the Terms and Conditions.
You will receive confirmation of your payment via email and instant access to the webinars you have purchased.