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MONEY MANAG

*Hanya isi k

Modal Rp 1,000,000 2.00%


Risk per Trade 1.50%
1.00%

Buy 1,000

Stop Loss 900 Risk 100

Target Profit 1 1,200 Reward 200


Target Profit 2 1,300 Reward 300
Target Profit 3 1,400 Reward 400

Lot Ideal Dana Yang Digun


2.00% 2.00 2 Rp 200,000 20.00%
Risk 1.50% 1.50 1 Rp 100,000 10.00%
1.00% 1.00 1 Rp 100,000 10.00%
*Pembulatan ke bawah
MONEY MANAGEMENT CALCULATOR
*Hanya isi kotak berwarna kuning

Rp 20,000
Max Risk per Trade
Rp 15,000
2%
Rp 10,000

10.00% Risk Max 10%

20.00% Risk : Reward 2.00


Risk : Reward minimal
30.00% Risk : Reward 3.00
1:2
40.00% Risk : Reward 4.00

Proyeksi
Dana Yang Digunakan
Stop Loss TP 1
dari modal Rp 20,000 Rp 40,000
*Max 25%-30% dari
dari modal modal Rp 15,000 Rp 30,000
dari modal Rp 10,000 Rp 20,000
PRINSIP RISK MANAG

1. Selalu menggunakan Stop L


2. Say NO to Average Down
3. Risk : Reward Ratio minimal =
4. Max Loss = 10%
5. Max Risk per Trade = 2%
6. Max dana yang digunakan 25% - 30% dari

Proyeksi
TP 2 TP 3
Rp 60,000 Rp 80,000
Rp 45,000 Rp 60,000
Rp 30,000 Rp 40,000
K MANAGEMENT

ggunakan Stop Loss!


to Average Down
d Ratio minimal = 1 : 2
x Loss = 10%
sk per Trade = 2%
n 25% - 30% dari modal (tambahan)

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