Risk On: Trading Podcast

Episode #4 - Risky Business


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Welcome back to Risk On! In this episode, we’re diving deep into one of the most critical aspects of trading - risk management.


You’ve probably heard the saying "Protect your downside, and the upside will take care of itself." That’s exactly what we’re exploring today.


What You’ll Learn in This Episode:


 - The difference between market risk, liquidity risk, and operational risk and how they impact swing and intraday traders.
 - How stop-loss placement, position sizing, and risk-reward ratios can define your long-term success.
 - Why technology and AI-driven analytics are game-changers for modern risk management.
 - The evolution of risk strategies, from traditional diversification to dynamic, real-time risk control.
 - The psychological discipline needed to avoid emotional trading and stick to a structured approach.


 Next episode: We’ll be exploring the evolution of technical analysis, from the days of Charles Dow to modern trading strategies - don’t miss it!


 If you enjoyed this episode, don’t forget to rate, follow, and subscribe to Risk On. Your support helps spread the word! Drop a review or share your thoughts - I’d love to hear from you.



#Trading #RiskManagement #DayTrading #SwingTrading #TradingPsychology #TradingPodcast

Reference List


  • Corelli, A. (2015). Understanding Financial Risk Management. Routledge.
  • Kayahan, C., & Murat, T. (2022). The Evolution of Financial Risk ManagementJournal of Corporate Governance, Insurance, and Risk Management, 9(1), 155-168.
  • Kioman, H. F. (1992). Rethinking Risk ManagementThe Geneva Papers on Risk and Insurance, 17(64), 299-313.
  • Pashchenko, S., Pashchenko, N., & Krioni, O. (2017). Financial Risk ManagementProceedings of the International Conference on Trends of Technologies and Innovations in Economic and Social Studies, 38, 512.
  • Yang, X. (n.d.). Analysis of the Personalized Financial Risk Management. Beijing Dublin International College, Beijing University of Technology.
  • Youshi, H., Qachln, Z., & Zhongming, T. (2017). Thorough Financial Analysis for a Better Risk ManagementAmerican Scientific Research Journal for Engineering, Technology, and Sciences, 29(1), 379-387.
  • Zhou, S. (2023). The Current State and Challenges of Financial Risk ManagementHighlights in Business, Economics and Management, 21, 188-190.
  • Ziman, I. (2013). The Architecture of Financial Risk Management SystemsInformatica Economică, 17(4), 96-97.

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Risk On: Trading PodcastBy Risk On