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Stock Market Traders in Stocks & Shares...WAKE-UP!

01-16-2017 11:09 AM CET | IT, New Media & Software

Press release from: Park Avenue Consulting

Stock Market Trading Risk Can Now Be Managed?
It's the 21st Century and it’s quite normal to manage one’s own investments, yet very few implement disciplined, professional Money, Risk or Trade Management principles or understand them.
During the stock market boom, limiting risk was always an afterthought, but given the recent volatility & market conditions, let’s get serious!

Professional Money and Risk Management strategies, used correctly and together, will be your foundation to trading success. Essentially, Money Management tells you how many shares to trade at any given time and Stop placement is where you must accept you have made the wrong decision, close that trade and move on. It is a defensive concept that keeps you in the game to play another day. Don’t confuse Money Management with Stop placement. Stop placement does not answer the question, how much?

Risk Management is the difference between success and failure when trading shares. It refers to Stop placement and will minimize any losses and you WILL have them but will also maximise any profits and this stop is called a Trailing, Maintenance or Profit Stop.

Money Management optimizes capital usage. Few have the ability to view their portfolios as a whole. Even fewer traders and investors make the move from a defensive or reactive view of risk, in which they measure risk to avoid losses, to an offensive or proactive posture in which risks are actively managed for a more efficient use of capital. JBL Risk Manager will help you do all of the above.

JBL Risk Manager is an award winning and highly respected stock trading software tool like no other, helping traders to have success and achieve trading objectives by removing emotion and guesswork.
JBL Risk Manager provides all the updates and information for traders to gain profitable results even in the most treacherous market conditions. It includes stock market price data updates for all the significant markets throughout the world and featured in Technical Analysis of Stocks & Commodities July 2015

Everyone has the same objective and that is to become a better trader. Stock trading is something that can generate a great deal of steady cash flow, however, getting rid of small negative trading patterns is almost generally overlooked even though it is the most essential step towards trading success. By means of this program you can determine those areas effortlessly and successful traders understand or know that it is those little adjustments that help them move forward.

If you have invested any amount of time or money trying to find some helpful trading resource, like I have, you have probably found that many of them are just ineffective, extremely expensive and too complicated. Trading should be treated like any business that requires the correct knowledge and expertise.

Every successful Trader and Investor knows the significance of a proven trading plan or system and understands it takes both entry and exit rules and the discipline to follow them. To survive it's more essential to have and adhere to a sound, easy to understand, Money Risk & Trade Management plan.
The JBL Risk Manager is a user-friendly software tool that will automatically calculate your trade and position sizing, calculate suggested Initial Stop and Trailing Stop exit price points, Portfolio & Trading Performance reporting, Trading diary, and a lot more with simple viewing and set-up.

“I have been using JBL Risk Manager (RM) for quite some time and recently updated to the new version. I would not buy a stock without entering the purchase specifics into JBL RM first. It is very helpful money management and is the best position sizing trade journal available today. I maintain all sale specifics for each of my trades in each of my portfolios using JBL RM.”
by G Bethke, Stock Trader, NSW (Dec 2015, upgraded to latest version)

Moreover, JBL Risk Manager enables an investor or trader to establish their portfolio in advance and maintain a consistent exit strategy for superior risk management and a better night’s sleep.

Desk of JBL Risk Manager

Position Sizing aka Money Management is your first line of defence against catastrophic loss!
It is regarded by successful traders to be one of the most important components of any Trading Plan.
When you combine intelligent Position Sizing with effective Risk Management you are planning for your long term trading and/or investment success!

"Risk Management is vital to Trading Success AND
Position Sizing is the missing key to successful Risk Management."

Visit us at and download a FREE 30 day trial.
No Credit Card or personal details requested.

"I hope the markets treat you well" Joseph (JBL) Barrington-Lew

Click here to enjoy a short 60 second intro

About Author

Author is Joseph Barrington-Lew, developer of JBL Risk Manager, trader, educator, widely published online contributor with over 15 years experience in the Financial Services Industry. I have worked with Industry Professionals, International experts and novice beginners to share trading.

10 Eva Street Malvern Victoria 3144 Australia

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