Dynamic Position Sizing
Meaning ⎊ Adjusting trade exposure in real-time based on current volatility levels to maintain stable risk-adjusted performance.
Convergence Arbitrage
Meaning ⎊ Trading strategy that profits from the expected narrowing of a price gap between related financial instruments.
Pivot Points
Meaning ⎊ Mathematical price levels calculated from previous high, low, and close data to identify support, resistance, and trends.
Stop Loss Order
Meaning ⎊ A conditional trade instruction to exit a position at a specific price to prevent further capital erosion.
Underlying Asset Price
Meaning ⎊ The spot market value of the asset that determines the valuation and payoff structure of associated derivative contracts.
Risk-Reward Profile
Meaning ⎊ A summary of the potential gains versus the potential losses of a specific strategy.
False Breakout
Meaning ⎊ Temporary move beyond a support or resistance level followed by a swift reversal, trapping traders.
Disposition Effect
Meaning ⎊ The tendency to sell winners too early and hold losers too long, hindering portfolio growth and performance.
Cross Margin
Meaning ⎊ A margin system where all positions in an account share a common pool of collateral to cover margin requirements.
Cash Flow Analysis
Meaning ⎊ The practice of monitoring and evaluating the timing and size of cash inflows and outflows in an investment.
Trade Plan
Meaning ⎊ Written document defining a trader's strategy, rules, risk parameters, and operational framework for every trade.
Account Growth
Meaning ⎊ The sustained increase in a trading account's total value over time through profitable trades.
Contract Multiplier
Meaning ⎊ A factor defining how many underlying units are controlled by one single financial derivative contract.
Derivative Specs
Meaning ⎊ The standardized details and terms that define a specific financial derivative contract.
Trend Strength
Meaning ⎊ The quantifiable degree of momentum and market conviction driving a sustained directional price movement over time.
