
Managing Losses in Volatile Markets
Puratan Bharti
Level
Beginner
Learn
On Demand
Access
90 days or till subscription
Language
English & Hindi
About this Course
Markets can be unpredictable, especially in volatile conditions. But knowing how to manage risks effectively can make all the difference. Learn strategies to manage losses and protect your capital, especially during volatile markets and how to interpret market structure, leverage the gaps in data, and use position sizing to manage risk while trading Options.
You will learn:
Key Takeaways
1
Market structure and its role in risk management
2
Understanding gaps in data to build trade setups
3
Importance of position sizing to minimise losses
Modules
1 Modules•1 hr 24 mins content
This course is for
1
Traders looking to understand and manage market volatility
2
Beginners who want to learn risk management in volatile markets
3
Experienced traders seeking strategies to protect capital in uncertain conditions
Meet your Mentor

Puratan Bharti
Stock Market Expert
20+ years of experience
Puratan, a mentor for NITI Aayog, IIT Bombay, and SIFA, has 20+ years in consulting, M&A, and India entry strategy. He runs a unique stock analysis program blending CFA concepts with market research. An empaneled trainer with NSE, NISM, and NSDL, he has trained executives from top firms like Kotak Mahindra Bank, NABARD, and AngelOne.