@TikiTakaConnor It was just a matter of time. Arsenal under Arteta never played in a system with a specialist striker. The goal from the front used to come from the wingers. It is now the players have adapted to the system and trust the striker more with passes , and see what Gyokeros can do.
#Nifty CMP 24889 (Intraday)
โฌ๏ธFresh shorts only below 24825
โฌ๏ธGood move possible above 24942 !
#Sensex CMP 81596 (Intraday)
โฌ๏ธ Shorts will be active only below 81389
โฌ๏ธ Bullish targets from here 81750-890 for
Disclaimer & Disclosure- https://t.co/UQo31k2agc
Dark Horse ๐ฆ For April series
Investment 5 k
cmp 65
Target 130 150
Sl 30
Risk 2500
Game changer stock
Maximum Retweet
Dm I ll send
#sensex#nifty#banknifty
Just Completed a 2 Hrs long free webinar on Open Interest secrets with Interactive recent charts examples.
If anyone wants ppt of the webinar, please Retweet this and send DM.
Would like to thanks @AVA_ALGO for their extended support to host our setup in their platform and giving a brief of how #algotrading works.
Hope we manage to give our best to the community. More to come. Keep Liking.
#moneytree will send dm only dm ! tomorrow 3 pm October option jockpot who retweet this ! ๐๐ฅ๐ฅ๐ฅ๐ฅ๐๐ผโโ๏ธ๐๐ผโโ๏ธ๐๐ผโโ๏ธ
#moneytree๐ฒ
#Archerโ๐ปโ๐ปโ๐ป๐คโค๏ธ
Maintaining risk management in share market trading is crucial to minimize losses and maximize gains. Here are some strategies to help you manage risk:
1. _Stop-Loss Orders_: Set a price level to automatically sell a stock when it falls below that point, limiting potential losses.
2. _Position Sizing_: Manage the size of your trades to control potential losses and avoid over-investing in a single stock.
3. _Diversification_: Spread your investments across various asset classes, sectors, and stocks to minimize exposure to any one particular stock or sector.
4. _Risk-Reward Ratio_: Set a ratio to determine the potential reward versus potential risk before entering a trade.
5. _Hedging_: Invest in instruments that offset potential losses in other investments.
6. _Portfolio Rebalancing_: Regularly review and adjust your portfolio to maintain your target asset allocation.
7. _Volatility Management_: Adjust your strategy based on market volatility.
8. _Regular Portfolio Review_: Monitor your portfolio regularly and rebalance as needed.
9. _Don't Overleverage_: Avoid using excessive margin or leverage, which can amplify losses.
10. _Stay Informed but Avoid Emotional Decisions_: Stay updated on market news, but avoid making impulsive decisions based on emotions.
Remember, risk management is an ongoing process that requires discipline and adaptability. By implementing these strategies, you can minimize potential losses and maximize gains in the share market.
#sharemarket #StockMarket #profits #Reliance #SupremeCourt #KamalHaasan #ShubmanGill #Maxwell #LISAxROCKSTAR #RSAvIRE