Risk Factor Analysis
Meaning ⎊ Identifying and measuring the core risks that impact asset performance and volatility.
Trade Plan
Meaning ⎊ Written document defining a trader's strategy, rules, risk parameters, and operational framework for every trade.
Profit Taking
Meaning ⎊ Strategy of closing a trade at a target price to secure a financial gain, preventing reversal of paper profits.
Trade Consistency
Meaning ⎊ Ability to execute a trading plan with exactness over time, maintaining discipline and adhering to risk management.
Account Equity
Meaning ⎊ Total value of all cash and open positions in a trading account, representing the current capital available.
Liquidity Assessment
Meaning ⎊ Evaluation of market liquidity before trading to ensure order size can be handled without massive slippage.
Breakout Confirmation
Meaning ⎊ Verification that a price move through a barrier is genuine, often requiring high volume or sustained momentum.
Trade Timing
Meaning ⎊ Act of selecting the precise moment for trade entry or exit to improve the overall outcome and profitability.
Trading Strategy Adjustment
Meaning ⎊ Proactive process of modifying trade parameters or methodologies to adapt to changing market environments.
Market Maker
Meaning ⎊ Trader or entity that provides liquidity by constantly placing both buy and sell limit orders, capturing the spread.
Order Size
Meaning ⎊ Quantity of an asset specified for a single trade instruction, influencing market impact and execution ease.
Immediate or Cancel
Meaning ⎊ Order directive where any part of the trade that cannot be executed immediately is automatically cancelled.
Trailing Stop
Meaning ⎊ Dynamic stop order that automatically adjusts its trigger price along with favorable market movements to lock in profits.
Credit Limit
Meaning ⎊ The maximum amount of capital that an exchange will allow a trader to borrow for margin trading.
