🚨 90% of traders don't blow up because of bad entries. They blow up because of bad risk management.
Here's the 1% edge nobody talks about:
📌 Never risk more than 1-2% per trade**
One bad trade shouldn't end your career. Position size > prediction skill.
📌 Always set your stop-loss BEFORE you enter
If you're setting it after you're in the trade, you're not trading — you're gambling.
📌 Risk:Reward ratio > 1:2, always
Win 40% of trades with 1:3 R:R and you're still profitable. Math > emotion.
📌 Never move your stop-loss further away-
Hope is not a strategy. Cut losses fast, let winners run.
📌 *Diversify, but don't over-diversify*
5-8 solid positions > 20 random bags you can't even track.
📌 *The market will be here tomorrow. Will your capital?*
Protect it like your life depends on it — because your trading life does.
💬 The best traders aren't the ones who never lose.
They're the ones who never lose *big*.
Risk management isn't the boring part of trading.
It's the ONLY part that keeps you in the game long enough to win.
Tag a trader who needs to see this 👇
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