Chance-Risiko-Verhältnis (CRV) 2:1 Maximales Risiko empfehle ich 0,25% bis max. 0,5% vom Net Asset Value, zu deutsch Nettovermögenswert, das was übrig offen im Konto zur Verfügung liegt, exklusive Margin, Investment und sonst was anderes. Für Fragen, stehe ich Euch gerne zur Verfügung. Cheers.
Risk-Return Ratio is 2:1. Concerning the maximum risk for this trade, I’d suggest not to exceed 0.25% to 0.50% of Net Asset Value. The N.A.V. is that part of the portfolio which is left open, free funds, excluding margins, investments and anything else. If you have any questions, you are welcome to leave a message/or comment. Cheers.
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