Risk Management

Imagine being $400k FUNDED with a Prop Firm.

What percentage of your capital would you risk on each trade?

Let’s discuss your risk management strategies!

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I will risk 0.5% - 1% every trade

I will most like risk 0.3% per trade

1.5percent risk per trade

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only 0.5% per trade :ok_hand:

I would risk 1% per trade because of the strategy I use

It’s depends on where am getting tag in, it will determine my risks. If am getting tag in in a setup I feel comfortable 2% is okay but if am not too comfortable 0.5% should do the magic but I will target the next draw on liquidity either it be FVG, equal low or lows or highs or inefficiency but it must be the next Draw on liquidity

0.3% - 0.5% per trade at maximum

I would just risk 1 percent, thats 4000 US$ risk in every trade.

4 trades of 0.6% a day 3 times a week

If you’re funded with a $400k it doesn’t matter the account size, what matters most is your maximum drawdown. For instance, if your max drawdown is 10%, you can divide it by 50trades (10/50=0.2) so technically you are to risk 0.2% per trade… So perhaps to loose that account you’ll need to loose 50 trades at a go which is an ideal good risk management practice for a long time outcome…I hope you find this useful​:100::pray:

My risk will be based my on my entry. But I will risk 0.5% as min

1-2% risk of the account per trade. If I would be up several % on the account I would risk 2 or 3% per trade to maximize the profits.

2% Risk per trade is okay, allowed at FTMO?

Yes it is ok. You can manage your own risk.

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