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forex and risk management

  • 45 Days
  • 25 Steps

About

This comprehensive program, “Forex and Risk Management,” is designed to equip participants with the essential knowledge and practical skills required to navigate the dynamic world of foreign exchange trading and effectively manage associated risks. The course begins with a foundational overview of the global forex market, including its structure, key participants, and the economic factors that influence currency values. Participants will explore the mechanics of forex trading, from understanding currency pairs and market orders to utilizing trading platforms and analytical tools. A significant focus is placed on risk management strategies, ensuring that learners can identify, assess, and mitigate various types of risks inherent in forex trading. The program covers topics such as leverage, margin, stop-loss orders, and position sizing, providing actionable techniques to protect capital and optimize returns. Real-world case studies and interactive exercises are integrated throughout the curriculum to reinforce learning and build confidence in applying risk management principles. By the end of this program, participants will have developed a robust understanding of forex market operations, technical and fundamental analysis, and the critical importance of disciplined risk management. Whether you are a beginner seeking to enter the forex market or a professional aiming to enhance your risk management skills, this program offers valuable insights and practical tools to support your trading journey.

You can also join this program via the mobile app. Go to the app

Instructors

Price

₹1,15,000.00

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