Successful trading begins with understanding how to manage risk and protect capital.
In this session, Tom Yuen introduces the critical role of money management in trading and explains why it is especially important for active traders navigating volatile markets.
Participants will learn about the different types of trading risks and how professional traders evaluate opportunities using key performance metrics such as the Risk-Reward Ratio and Win-Loss Ratio. Through practical examples and case studies, this session demonstrates how disciplined risk management can help traders build consistency, reduce emotional decision-making, and develop a sustainable trading edge.
By the end of this session, participants will be able to:
- Understand why money and risk management are especially critical for traders compared to long-term investors
- Identify and differentiate between the various types of risks involved in trading
- Explain how the Risk-Reward Ratio and Win-Loss Ratio influence trading performance
- Recognise how these two key ratios contribute to developing a sustainable trading edge
- Analyse real trading scenarios to understand the relationship between high risk and high return opportunities
Register now to secure a seat!
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This is the first session in the Money, Method & Mind: The 3 Pillars of Trading Success with Tom Yuen seminar series — Session 2 | Session 3