why traders fail to manage risk?
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    why traders fail to manage risk?
    Tajiron ke liye khud ko mehnat karna, niazmandiyon ko pura karna, aur samet har qisam ke angarai aur jaddojahad ke bawajood, business mein kamiyabi hasil karna aik challenge bhara 'ahd' hota hai. Is bade mushq mein, aksar tajran khud ko aik bade chakar mein phans jaate hain jab woh khatra manzim karna mushkil samna karte hain. Yahan chand aam wajohat hain jo tajran ko risk manzim karna mein nakam bana deti hain:

    1. Ilm ki Kami: Zyadatar tajran apni sarmaiyakari ke shobay mein mahir nahi hote aur aksar waqt woh be-ilm sochte hain ke bazaar ko parh pana asaan hai. Ilm ki kami aur tajurba ke bawajood, risk ko sahi tareeqay se manzim karna mumkin nahi hota.

    2. Girapen ki Kami: Baaz waqt tajran mein girapen ki kami hoti hai jis ki bina par woh sahi tareeqay se risk ko sanjeedagi se nahi lete. Unhein apne investments par achay khayalat hote hain aur woh apne khud ke chhupay hue khatrat ko nazarandaz karte hain.

    3. Hukoomaton aur Mushkilat: Tajran ko aksar is wajah se mushkilat ka samna karna parta hai ke hukoomaton aur mukhtalif aamilon ne bazaar mein tabdiliyan late hain jo bazaar mein inqilab ka baais banti hain. Aisi surat mein risk ko manzim karna mazeed mushkil hota hai.

    4. Agay Nikalne ka Jazbah: Baaz oqat tajran itna agay nikalne ka jazbah rakhte hain ke woh risk kam karne ki bajaye zyada karne ka irada karte hain. Yeh jazbah aksar unhein mali zawaal ka samna karna parta hai.

    5. Badi Tanaza'at ki Adam Manzimi:
    Tajran ko apne andar mukhtalif mamlaat mein muawazna karna chahiye lekin baaz oqat aisa hota hai ke unhein badi tanaza'at mein apne aap ko phans jaate hain aur woh risk ko manzim karna mein nakam hote hain.

    Khatam Karte Hain ke tajiron ki nakami mein risk manzim karna ki kami ek mukhtalif wajohat ki mojoodgi ka natija hoti hai. Ilm, tajurba, aur durust risk manzim karna ki tarbiyat hona, tajron ko is maidan mein kamiyabi ki raahon par leja sakta hai.
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  • #2 Collapse


    Traders fail to manage risk

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    Forex trading mein safal hona ek bahut bada challenge hai, aur iss mein safal honay ke liye traders ko apnay risk management ko bhi bahut acchay se handle karna zaroori hota hai. Lekin bohat se traders risk management ki tarbiyat nahi rakhtay aur issi wajah se apni trading mein kamyab nahi ho paatay. Yahan kuch aham wajohaat diye gaye hain jin ki wajah se traders apnay risk ko manage nahi kar paatay:

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    1. Lack of knowledge:

    Bohat se traders ko forex trading ke baare mein sahi knowledge nahi hoti, jis ki wajah se woh apnay trades ko manage nahi kar paatay. Iss mein traders ko market ki understanding, technical analysis aur fundamental analysis ka knowledge hona zaroori hota hai.

    2. Overtrading:

    Kuch traders apni greed ki wajah se bohat zyada trades karte hain, jis ki wajah se unka risk management kharab ho jata hai. Overtrading se traders apni investment ko bhi lose kar saktay hain.

    3. Emotional trading:
    ​​​​​​
    Forex trading mein emotions ki koi jagah nahi hoti, lekin bohat se traders apni emotions ko control nahi kar paatay aur apni trades ko emotional basis par letay hain. Emotional trading se traders apnay trades ko galat direction mein bhej detay hain aur apni investment ko khatray mein daal detay hain.

    4. Lack of discipline:

    Kuch traders ko apni trading mein discipline ki kami hoti hai, jis ki wajah se woh apni trades ko manage nahi kar paatay. Discipline se traders apni trades ko control karte hain aur apni investment ko safe rakhtay hain.

    Conclusion

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    In sab wajohaat ki wajah se traders apnay risk ko manage nahi kar paatay aur forex trading mein safal nahi ho paatay. Lekin agar traders apni trading ko sahi tarah se handle karnay ke liye apni knowledge ko improve karen, apni emotions aur discipline ko control karen toh woh apnay risk ko acchay se manage kar saktay hain.


    • #3 Collapse


      Traders Kyuen Risk Manage nai kar patay:
      Trading ek aisa kam hai jo bahut se log karte hain paisa kamane ke liye. Lekin, kai baar traders ko nuqsan uthana padta hai kyun ke woh risk ko theek tarah se manage nahi kar pate. Yahaan hum kuch un wajaahat ka zikar karenge jo traders ko risk manage karne se rokta hai.



      Knowledge aur Training ki kami:
      Bahut se traders proper taleem aur training ke baghair trading shuru kar dete hain. Unhein market ke dynamics aur risk management techniques ka poora ilm nahi hota. Jab tak aap market aur uski complexities ko nahi samajhte, aap effective risk management nahi kar sakte.



      Overconfidence:
      Kai traders overconfident hote hain aur samajhte hain ke woh market ko hamesha sahi tarah se predict kar sakte hain. Ye overconfidence unhein bade risks lene par majboor karta hai jo aakhir kaar nuqsan mein tabdeel ho sakta hai.



      Emotional Decision Making:
      Trading mein emotions ka bahut bara role hota hai. Jab market upar neeche hoti hai, traders panic kar jate hain aur apne decisions ko emotions par base karte hain. Yeh galti hoti hai kyunki emotional decisions aksar ghulat hote hain.



      Lak of propper Trading Plan:
      Ek proper trading plan ka hona zaroori hai. Bahut se traders bina kisi plan ke trading karte hain. Yeh aise hi hai jaise bina map ke safar karna. Jab aapke paas proper plan nahi hota, aap risk ko sahi tarah se manage nahi kar sakte.



      Risk, Rewrad Ratio Mange karna:
      Risk-reward ratio trading ka ek important aspect hai. Kai traders isko ignore kar dete hain aur zyada profit ke chakkar mein bade risks le lete hain. Yeh strategy aksar nuqsan mein badal sakti hai agar market aapke against chali jaye.



      Proper Diversification:
      Diversification risk management ka ek key element hai. Lekin, kai traders apne saare paisay ek hi type ki investment mein laga dete hain. Jab woh investment fail hoti hai, saara paisa doob jata hai. Diversifying investments se risk ko kam kiya ja sakta hai.




      Stop Loss orders ka Istemal na karna:
      Stop-loss orders risk management ke liye bohot zaroori hain. Lekin, kai traders inka istimaal nahi karte. Stop-loss orders se aap apna nuqsan limit kar sakte hain agar market aapke against chali jaye. Yeh orders aapki capital ko bachane mein madadgar hote hain.




      Market ki volatility nazar andaz karna:
      Market hamesha volatile rehti hai. Bahut se traders market ki volatility ko ignore kar dete hain aur steady market ke assumption par trading karte hain. Yeh assumption ghalat hai aur isse nuqsan uthana pad sakta hai.




      Leverage ka galat Istemaal:
      Leverage trading mein double-edged sword ki tarah hota hai. Agar sahi tarah se use kiya jaye, toh yeh profits ko barha sakta hai. Lekin, agar galat tarah se use kiya jaye, toh yeh bade nuqsan bhi kara sakta hai. Kai traders leverage ka misuse karte hain aur phir bade nuqsan ka samna karte hain.



      Market ki reality ko accept karna:
      Kai traders market ki realities ko accept nahi karte aur apne biases par trade karte hain. Market reality ko samajhna aur accept karna bohot zaroori hai. Agar aap reality se door hokar trade karte hain, toh aapko nuqsan uthana padega.



      Conclusion:
      Risk management trading ka ek buniyadi hissa hai aur isko nazar andaz karna traders ke liye nuqsan deh ho sakta hai. Proper taleem, trading plan, emotional control aur risk management techniques ka sahi istemaal kar ke hi traders apne risks ko effectively manage kar sakte hain.
      • #4 Collapse

        Forex Trading Mein Risk Ka Imtiaz Na Karna - Kyun Karobari Nakaam Kyun Hotay Hain
        1. Mehwariyat:

        Forex trading mein mehwariyat ka matlab hota hai risk ka sahi taur par imtiaz na karna. Bohat se traders apni trading mein itni zyada mehwariyat karte hain ke wo sirf munafa ki taraf tawajjo detay hain aur nuksan ka koi imtiaz nahi karte. Jab tak traders apne trades ko mehwariyat se nahi dekhte, wo apni trading mein nakami ka samna karte rahenge.

        Forex market mein trading karte waqt mehwariyat se bachne ke liye zaroori hai ke traders apne trades ko sahi taur par analyze karein aur nuqsan ko rokne ke liye mukhtalif tajurbaat aur strategies ka istemal karein. Munafa hasil karne ke liye itna hi zaroori hai ke nuksan se bachne ke liye bhi tajurbaat aur hikmat ka istemal kia jaye.
        1. Naqad Muamlat Ki Kami:

        Naqad muamlat ki kami bhi ek bara sabab hai forex trading mein risk ka sahi taur par imtiaz na karne ka. Agar traders ke paas kaafi naqad muamlat ki kami ho, to wo apni trading mein zaroorat se zyada risk le sakte hain. Agar unka account margin call se mutasir ho jata hai, to wo bina kisi soch samajh ke zyada risk lete hain taake apne account ko recover kar sakein.

        Is maslay ko hal karne ke liye traders ko apne trading account ko zaroori had tak barqarar rakhna chahiye aur agar unke paas naqad muamlat ki kami hai to wo kam leverage ka istemal karein taake unka account protect rahe.
        1. Nakami Ki Darguzarish Ki Adat:

        Kuch traders ko nakami ki darguzarish ki adat hoti hai. Wo jald baazi mein trading karte hain aur zyada risk lete hain bina kisi tajurba ya tajurba ke. Jab unka trade nakami ka samna karta hai, to wo doosre trade mein bhi zyada risk lete hain taake apni pehli nakami ko cover kar sakein. Lekin aksar yeh silsila nakamiyon ka chakkar hi ban jata hai aur unki trading mein tabahi laata hai.

        Is maslay ka hal karne ke liye zaroori hai ke traders apni trading approach ko badal kar sambhal jayein aur ghalat trading habits ko chhod dein. Tajurba aur istiqamat se apne trading plan ko barqarar rakhein taake nakami ki darguzarish ki adat khatam ho sake.
        1. Be Tadbeer Harkat:

        Be-tadbeer harkat ya bina kisi tajurbaat aur tajurba ke trading karna bhi ek bara risk hai forex market mein. Bohat se traders apne trades ko bina kisi analysis ke aur be-tadbeer harkat karte hain, jo ke unke liye nuqsan dayanak sabit hoti hai.

        Is maslay ko hal karne ke liye zaroori hai ke traders apni trading approach ko sudhar lein aur sahi taur par taiyari aur tajurbaat hasil karke hi trading karein. Agar koi naye strategy ya technique try karna chahte hain, to pehle usko demo account par test karein taake actual trading mein nuqsan se bach sakein.
        1. Tajrubah Ki Kami:

        Tajrubah ki kami bhi ek bada masla hai jo ke traders ko forex market mein nakami ka samna karwati hai. Agar traders ke paas sahi maqoolat aur tajurba nahi hai, to wo market ki tabdeeliyon ko samajhne aur usmein apne trades ko adjust karne mein kamiyab nahi ho sakte.

        Is maslay ko hal karne ke liye zaroori hai ke traders apni trading mein tajurba aur tajurbaat hasil karne ke liye waqt aur mehnat karein. Wo market ke trends ko samajhne aur usmein apne trades ko adjust karne ke liye har waqt tayyar rahein.
        1. Emotional Trading:

        Zehni dabao aur ghalat faislay forex trading mein risk ko barha dete hain. Traders ko apne jazbaat aur gusse par qabu rakhna zaroori hai taake wo sahi faislay kar sakein.

        Emotional trading se bachne ke liye traders ko apne trading plan ko barqarar rakhein aur us par mazidat se amal karein. Agar kisi trade mein nuqsan hota hai, to wo apne ghalat faislay par ghoor karne ke bajaye agle trades mein behtareen faislay lene ki koshish karein.
        1. Greed Aur Fear:

        Greed aur fear bhi traders ko nuqsan mein mubtala karne ka sabab bante hain. Jab traders greed ke shikaar hote hain, to wo zyada risk lete hain taake zyada munafa hasil kar sakein. Lekin is tarah ka risk lene se aksar unka account nuqsan mein mubtala ho jata hai.

        Is maslay ko hal karne ke liye zaroori hai ke traders apni trading approach ko samajhne aur sahi taur par control karein. Wo apne trades ko analyze karein aur greed aur fear ki bajaye sahi faislay par amal karein.
        1. Lack of Knowledge:

        Forex trading ke shuruaat mein traders ke paas kafi waqaiyat aur tajurba nahi hota, jo ke risk ka sahi taur par imtiaz karne mein madadgar sabit hota hai. Is maslay ko hal karne ke liye zaroori hai ke traders apne trading skills ko barhawa dein aur market ke trends ko samajhne ke liye mehnat karein.

        Traders ko market ke baare mein har waqt seekhne aur naye tajurbaat hasil karne ke liye tayyar rehna chahiye. Wo forex market ki tabdeeliyon ko samajhne aur usmein apne trades ko adjust karne ke liye hamesha tayyar rahein.
        1. Leverage Ki Ghalat Istemal:

        Aksar traders leverage ko ghalat tareeqay se istemal karte hain, jo unko ziada nuqsan mein mubtala kar deta hai. Leverage ka sahi taur par istemal karne ka ilm hona zaroori hai.

        Traders ko leverage ka sahi taur par istemal karne ke liye apne trading plan ko barqarar rakhein aur zyada leverage ka istemal se bachain. Agar unko leverage ka sahi istemal karne mein mushkilat hoti hain, to wo apne broker se mashwara karein taake unko sahi taur par guide kiya ja sake.
        1. Mehnat Aur Taiyari Ki Kami:

        Bohat se traders forex trading mein kamiyabi hasil karne ke liye mehnat aur taiyari nahi karte. Unka maqsad sirf jaldi se ameer hona hota hai, jo ke aksar nakami ka sabab banta hai.

        Is maslay ko hal karne ke liye zaroori hai ke traders apni mehant aur taiyari mein izafa karein aur apne trading skills ko barhawa dein. Wo market ke baare mein mehnat karke sahi taur par analyze karein aur apne trades ko adjust karne ke liye hamesha tayyar rahein.
        1. Market Ki Samajh Ki Kami:

        Forex market ko samajhna aur uski tabdeeliyon ko pehchanna zaroori hai, lekin bohat se traders is cheez ki kami ka shikar hote hain aur is wajah se risk ka sahi taur par imtiaz nahi kar pate.

        Is maslay ko hal karne ke liye traders ko market ke trends ko samajhne aur usmein apne trades ko adjust karne ke liye mehnat karna chahiye. Wo market ke baare mein har waqt seekhte rahein aur naye tajurbaat hasil karne ke liye tayyar rahein.
        1. Bila Shaoori Trading:

        Aksar traders bila shaoori trading karte hain, matlab ke baghair sahi tajurba aur ilm ke forex market mein dakhil ho jate hain, jo ke unke liye mubtala bura asar dalta hai.

        Is maslay ko hal karne ke liye zaroori hai ke traders apne trading approach ko badal kar sambhal jayein aur sahi taur par taiyari aur tajurbaat hasil karke hi trading karein. Agar koi naye strategy ya technique try karna chahte hain, to pehle usko demo account par test karein taake actual trading mein nuqsan se bach sakein.
        1. Be Hesiyati Aur Be Pabandi:

        Kuch traders ko apni trading mein be-hesiyati aur be-pabandi ka moamla nahi hota. Wo apne trading plan ko bar bar badalte hain aur is wajah se risk ka sahi taur par imtiaz nahi kar pate.

        Is maslay ko hal karne ke liye zaroori hai ke traders apne trading plan ko barqarar rakhein aur us par mazidat se amal karein. Wo apne trades ko analyze karein aur apne trading approach ko badal kar sambhal jayein taake nakami se bach sakein.
        1. Nakami Se Sabak Nahin Seekha:

        Aksar traders apni nakami se kuch nahi seekhte aur wahi ghalatiyan baar baar dohrate hain, jo ke unko karobari nakaami ka shikar banati hai.

        Is maslay ko hal karne ke liye zaroori hai ke traders apni nakamiyon se sabak seekhein aur unse seekha hua tajurba apne future trades mein istemal karein. Wo apne ghalat faislayon par ghoor karke unse seekhain aur apne trading approach ko sudhar kar sambhal jayein.

        Overtrading:

        Overtrading bhi ek bada masla hai jo traders ko risk ka sahi taur par imtiaz na karne mein madadgar sabit hota hai. Kuch traders apni excitement ya greed ki wajah se zyada trades karte hain, jiski wajah se unka risk barh jata hai. Overtrading se bachne ke liye zaroori hai ke traders apne trading plan ko barqarar rakhein aur sirf high probability trades par focus karein.
        1. Lack of Discipline:

        Karobari nakaami ka ek aur bada sabab hai discipline ki kami. Agar traders apne trading rules ko nahi follow karte, to unka risk barh jata hai. Discipline se trading karna zaroori hai taake traders apne trades ko sahi taur par manage kar sakein aur nakami se bach sakein.
        1. Ignoring Stop Losses:

        Stop losses ka ignore karna bhi traders ke liye bara risk hai. Kuch traders apne trades mein stop loss lagane ki jagah be-hesiyati taur par hold karte hain, jiski wajah se unka nuksan barh jata hai. Stop losses ka sahi taur par istemal karke, traders apne nuksan ko control kar sakte hain.
        1. Trading Without a Plan:

        Bila tayari aur bila planning ke trading karna bhi aik bara risk hai. Agar traders ke paas sahi taur par tayyar trading plan nahi hai, to wo apne trades ko sahi taur par manage nahi kar sakte. Har trading session ke liye tayyar hona zaroori hai taake traders apne trades ko sahi taur par execute kar sakein.
        1. External Factors Impacting Decision Making:

        Kabhi kabhi traders apni trading decisions ko market se bahar ki factors ki wajah se letay hain, jaise ke media ki khabrein ya social media ki hawao. Is tarah ke factors se influenced hona unke liye bara risk hai, aur aksar unko nuksan uthana parta hai.
        1. Lack of Patience:

        Sabra na hona bhi ek bada masla hai jo traders ko nakami ka samna karwata hai. Bohat se traders munafa ko jaldi hasil karne ki koshish karte hain, jiski wajah se wo zyada risk lete hain aur nuksan mein mubtala ho jate hain.
        1. Not Adapting to Market Conditions:

        Market ke tabdeeliyon ka na adap kar pana bhi traders ke liye bara risk hai. Agar traders market ke changes ko samajhne aur unke according apne trades ko adjust nahi karte, to unka nuksan ho sakta hai. Market ke trends ko samajhne aur unke according trading karna zaroori hai taake traders nakami se bach sakein.
        1. Poor Risk Management Strategies:

        Bura risk management bhi ek bara sabab hai karobari nakaami ka. Agar traders ke paas sahi taur par risk management strategies nahi hain, to unka nuksan barh jata hai. Sahi taur par risk ko manage karne ke liye, traders ko apne trades ko sahi taur par analyze karna aur stop losses ka istemal karna chahiye.
        1. Underestimating the Importance of Education:

        Education ki ahmiyat ko kam samajhna bhi traders ke liye bara risk hai. Agar traders forex market ke baare mein sahi ilm nahi rakhte, to unka nuksan ho sakta hai. Education hasil karke, traders apni trading skills ko barhawa de sakte hain aur nakami se bach sakte hain.
        1. Failure to Diversify:

        Kuch traders apne trades ko diversify nahi karte, jo ke ek bara risk hai. Agar unka focus sirf ek hi currency pair ya ek hi market par hota hai, to unka nuksan ho sakta hai agar wo market ke changes se mutasir hote hain. Diversification ke zariye, traders apne risk ko spread kar sakte hain aur nuksan se bach sakte hain.

        In tamam masail ko hal karne ke liye, traders ko apni trading approach ko barqarar rakna aur apne trades ko sahi taur par manage karne ke liye mehnat aur tayyari mein izafa karna hoga. Iske ilawa, unko market ke baare mein sahi ilm hasil karne aur apne trading plan ko barqarar rakhne ki zaroorat hai.
        • #5 Collapse

          Why traders fail to manage risk?

          Risk management trading mein ek bohot ahem kirdar ada karta hai, lekin bohot se traders isko theek se manage nahi kar pate. Iski kai wajuhat hain jo niche bayan ki gayi hain.

          Sab se pehle, bohot se naye traders ke paas sahi knowledge aur training nahi hoti. Unhein markets ke bare mein limited maloomat hoti hai, aur wo sirf jaldi se paisa kamane ke iraday se trade karte hain. Ye unki risk management ki strategy ko kamzor bana deta hai.

          Dusri wajah emotional trading hai. Jab market unki umeed ke bar’aks chalti hai, to kai traders panic ya greed mein aa kar impulsive decisions le lete hain. Ye decisions aksar bina kisi proper analysis ke hote hain, jo unki investments ko risk mein daal dete hain.

          Teesri wajah ye hai ke bohot se traders apne capital ko over-leverage karte hain. Leverage ka matlab hai ke kam paison se zyada position lena. Jab market unke khilaf jati hai, to unhein bade nuqsan uthane padte hain, jo unke liye manage karna mushkil ho jata hai.

          Chauthi wajah stop-loss orders ka sahi istemal na karna hai. Kai traders stop-loss orders ko set nahi karte, ya agar karte hain to unhein frequently adjust karte rehte hain. Is se jab market volatile hoti hai, to unhein bade losses face karne padte hain.

          Panchvi wajah unrealistic expectations aur greed hai. Kai traders sochte hain ke wo bohot jaldi bohot zyada paisa kama lenge. Ye unhein high-risk trades lene par majboor kar deta hai, jo aksar unke against jati hain.

          Chhati wajah market conditions aur news events ka sahi andaaza na laga pana hai. Market ke trends aur news events ko samajhna aur unke mutabiq apne trades ko adjust karna zaroori hota hai. Kai traders is mein nakam rehte hain, jo unki risk management strategy ko damage karta hai.

          Aakhri wajah discipline ka na hona hai. Risk management ek disciplined approach demand karta hai, jahan traders apni strategy par mazbooti se qayam rahen. Lekin kai traders discipline ke baghair trading karte hain, jo unhein nuqsan mein daal deta hai.

          In tamaam wajuhat ki wajah se traders ke liye risk ko effectively manage karna mushkil ho jata hai. Risk management ek skill hai jo experience aur training ke zariye seekhi ja sakti hai. Har trader ko chahiye ke wo is aspect par focus kare taake wo long-term mein successful ho sake.
          • #6 Collapse

            1. Peshawar: Forex Trading Ka Bohat Bara Masla

            Forex trading aik shandar aur dilchasp tajurba hai, lekin bohat se traders ko ismein kamyabi nahi milti. Aik aham masla ye hai ke bohat se traders risk ka sahi andaza nahi laga paate, jiski wajah se unka karobar nuksan mein chala jata hai.

            Forex trading ek aesa duniya hai jo har waqt chalti rehti hai. Ye global market 24 ghanton ke doran kisi bhi waqt kholi hoti hai. Is ki vajah se traders ko samajhna mushkil ho jata hai ke kab aur kis waqt trading karni chahiye.

            Isi tarah, forex market ki impreesi raftar bhi traders ke liye aik masla ban jati hai. Zyada tezi se market mein chalne ki wajah se unhe decision lene mein mushkil hoti hai aur wo ghalat faislay kar lete hain.
            1. Rozana Ki Zindagi Mein Forex Trading: Aik Intehai Mushkil Kaam

            Rozana ki zindagi ke masail aur zimmedariyan traders ke liye forex trading ko samajhna aur ismein kamyabi haasil karna mushkil bana deti hain. Zindagi ka taizi se chalna aur forex market ki impreesi raftar mein farq hona bhi ek masla hai.

            Forex trading aik aesa kaam hai jo traders ko har waqt tayyar rehne ki zaroorat rakhta hai. Unhe market ke tabdeel hone par foran react karna parta hai, jo ke unke liye aik bada challenge hota hai.
            1. Risk Ka Samajhna: Forex Trading Mein Pehla Qadam

            Forex trading mein kamyabi haasil karne ka pehla qadam risk ka sahi andaza lagaana hai. Bohat se traders ye nahi samajhte ke zyada risk lena unke liye nuqsaan ka sabab ban sakta hai.

            Risk ka sahi andaza lagana, traders ke liye zaroori hai taake wo apne investments ko mehfooz rakhein. Agar kisi trader ko risk management ka sahi tareeqa nahi pata, to wo market mein asani se kamyabi nahi haasil kar sakta.
            1. Greed Aur Overconfidence: Nuqsan Ka Sabab

            Bohat se traders greed aur overconfidence ki wajah se zyada risk lete hain. Jab unko profits milte hain, to wo zyada se zyada faida kamane ki koshish karte hain, jo ke unke liye nuqsan deh sabit hoti hai.

            Greed aur overconfidence ke chalte, traders apne investments par zyada risk lete hain aur phir unka nuqsan hota hai. Isi tarah, jab market unke against chalne lagti hai, to unki overconfidence unhe nuqsan mein daal deti hai.
            1. Trading Plan Ka Na Hona: Ek Zaroori Tool

            Trading plan banana aur us par amal karna, kisi bhi trader ke liye zaroori hai. Magar bohat se traders trading plan ke baghair trading karte hain, jiski wajah se unka risk management bekar ho jata hai.

            Trading plan ka na hona, traders ke liye bara masla hai. Jab wo bina kisi plan ke trading karte hain, to unka nuqsan hona taay hai. Isi tarah, jab market mein unexpected changes aate hain, to unke paas koi strategy nahi hoti jisse wo apne positions ko mehfooz rakh sakein.
            1. Emotional Trading: Aik Bari Pareshani

            Emotional trading bhi bohat se traders ke liye aik bara masla hai. Jab traders apne emotions par control nahi rakh paate, to wo apni trading decisions mein ghalat faisle kar lete hain, jo ke nuqsan ka sabab ban jate hain.

            Emotional trading se bachne ke liye, traders ko apne emotions par control rakhna seekhna zaroori hai. Agar kisi trader ko apne emotions par control nahi reh sakta, to wo market mein apne decisions ko thik se nahi le sakta aur nuqsan mein chala jata hai.
            1. Lack of Discipline: Aham Sabab

            Karobarion ka behtareen nizam aur discipline, trading mein kamyabi ka ek aham rasta hai. Magar bohat se traders discipline ka khayal nahi rakhte, jiski wajah se unka risk management bekar ho jata hai.

            Discipline, traders ke liye zaroori hai takay wo apne decisions ko thik se le sakein. Agar kisi trader ko discipline ka khayal nahi, to wo apni trading mein nuqsan mein chala jata hai aur market mein kamyabi haasil nahi kar pata.
            1. Technical Aur Fundamental Analysis Ki Kami: Nuqsan Ka Baais

            Forex trading mein kamyabi haasil karne ke liye technical aur fundamental analysis ka hona zaroori hai. Lekin bohat se traders in do asoolon ki kami ki wajah se apne trade ko manage nahi kar paate, jo ke unke liye nuqsan ka baais ban jata hai.

            Technical aur fundamental analysis, traders ke liye zaroori hote hain takay wo market ko samajh sakein aur apne positions ko mehfooz rakh sakein. Agar kisi trader ko in asoolon ki samajh nahi hoti, to wo market mein asani se nuqsan mein chala jata hai.
            1. Leverage Ka Galat Istemal: Aik Bada Khatra

            Leverage ka galat istemal bhi bohat se traders ke liye aik bara khatra hai. Jab traders zyada leverage istemal karte hain, to unka nuqsan bhi zyada hota hai, aur wo apne capital ko khona ka khatra uthate hain.

            Leverage ka sahi istemal karna zaroori hai taake traders apne investments ko mehfooz rakh sakein. Agar kisi trader ko leverage ka sahi istemal nahi pata, to wo market mein asani se nuqsan mein chala jata hai aur apna capital khota hai

            Interest Rates Aur Economic Events Ka Na Samajhna: Nuqsan Ka Sabab

            Forex market mein interest rates aur economic events ka bohat bara asar hota hai. Lekin bohat se traders in cheezon ko samajhna nahi jaante, jiski wajah se unka risk management bekar ho jata hai aur wo nuqsan mein chale jate hain.

            Interest rates aur economic events, market ke dynamics ko samajhne mein madadgar hote hain. Agar traders in cheezon ko nazar andaz karte hain, to unka nuqsan hota hai aur wo market mein kamyabi haasil nahi kar paate.
            1. Risks Ko Ignore Karna: Ek Bara Khata

            Bohat se traders risks ko ignore karte hain aur apne trade ko manage karne ke bajaye, sirf profits par dhyaan dete hain. Ye galat fehmi unhe nuqsan mein daal deti hai aur unka karobar tabah ho jata hai.

            Risks ko ignore karna, traders ke liye bara masla hai. Jab wo apne investments par zyada risk lete hain, to unka nuqsan hota hai aur wo market mein kamyabi haasil nahi kar paate. Isi tarah, jab market mein unexpected changes aate hain, to unke paas koi strategy nahi hoti jisse wo apne positions ko mehfooz rakh sakein.
            1. Stop Loss Aur Take Profit Ka Na Istemal: Aik Badi Ghalti

            Stop loss aur take profit ka istemal karna, har trader ke liye zaroori hai. Lekin bohat se traders in tools ka sahi istemal nahi karte, jiski wajah se unka risk management bekar ho jata hai aur wo nuqsan mein chale jate hain.

            Stop loss aur take profit, traders ke liye zaroori hote hain takay wo apne investments ko mehfooz rakh sakein. Agar kisi trader ko in tools ka sahi istemal nahi pata, to wo market mein asani se nuqsan mein chala jata hai aur apne capital ko khota hai.
            1. Risk Management Ki Ahmiyat: Aik Zaroori Baat

            Risk management, forex trading mein kamyabi haasil karne ke liye aik zaroori baat hai. Lekin bohat se traders is baat ko nazar andaaz karte hain aur phir nuqsan mein daal jate hain.

            Risk management, traders ke liye zaroori hai takay wo apne investments ko mehfooz rakh sakein. Agar kisi trader ko risk management ka sahi tareeqa nahi pata, to wo market mein asani se nuqsan mein chala jata hai aur apna capital khota hai.
            1. Learning Aur Practice Ka Na Hona: Aham Masla

            Forex trading mein kamyabi haasil karne ke liye learning aur practice ka hona zaroori hai. Lekin bohat se traders is baat ko samajhte hue bhi is par amal nahi karte, jo ke unke liye nuqsan ka sabab ban jata hai.
            Learning aur practice, traders ke liye zaroori hote hain takay wo market ke trends ko samajh sakein aur apne decisions ko thik tareeqay se le sakein. Agar kisi trader ko in asoolon ki samajh nahi hoti, to wo market mein asani se nuqsan mein chala jata hai aur apna capital khota hai.
            1. Trading Mein Jald Bazi: Aik Bara Ghalti

            Jald bazi, forex trading mein aik bara ghalti hai. Bohat se traders jald bazi mein apne trade ko manage nahi karte, jo ke unke liye nuqsan ka sabab ban jati hai.
            Jald bazi se bachne ke liye, traders ko patience ka hona zaroori hai takay wo market ko samajh sakein aur apne decisions ko thik tareeqay se le sakein. Agar kisi trader ko patience nahi hoti, to wo market mein asani se nuqsan mein chala jata hai aur apna capital khota hai.
            1. Overtrading Ka Nuqsan: Aik Bada Khatra

            Overtrading bhi bohat se traders ke liye aik bara khatra hai. Jab traders zyada se zyada trade karte hain, to unka nuqsan bhi zyada hota hai, aur wo apne capital ko khona ka khatra uthate hain.
            Overtrading se bachne ke liye, traders ko apne positions ko mehfooz rakhne ki zaroorat hai. Agar kisi trader ko overtrading ka khayal nahi hota, to wo market mein asani se nuqsan mein chala jata hai aur apna capital khota hai.
            1. Patience Ka Na Hona: Aik Bari Kami

            Patience, forex trading mein kamyabi haasil karne ke liye zaroori hai. Lekin bohat se traders patience ka khayal nahi rakhte, jiski wajah se unka risk management bekar ho jata hai aur wo nuqsan mein chale jate hain.
            Patience, traders ke liye zaroori hai takay wo market ke trends ko samajh sakein aur apne decisions ko thik tareeqay se le sakein. Agar kisi trader ko patience nahi hoti, to wo market mein asani se nuqsan mein chala jata hai aur apna capital khota hai.Conclusion: Risk

            Management, Forex Trading Mein Kamyabi Ka Raaz


            In sab masail ka hal sirf ek hai: risk management. Forex trading mein kamyabi haasil karne ke liye zaroori hai ke traders apne risk ko manage karein aur apne decisions ko thik tareeqay se lein. Agar kisi trader ko risk management ka sahi tareeqa nahi pata, to wo market mein asani se nuqsan mein chala jata hai aur apna capital khota hai. Isi liye, har trader ko risk management ko apni priority banane ki zaroorat hai takay wo market mein kamyabi haasil kar sakein.
            • #7 Collapse

              Trade karna aik mushkil aur complex kaam hai aur bohat se traders is mein nakam ho jate hain. Iski aik bari wajah risk management mein kami hoti hai. Risk ko sahi tareeke se handle karna zaroori hai, magar aksar traders is aspect ko nazar andaz kar dete hain. Chaliye, kuch buniyadi wajahen dekhte hain jo traders ko risk manage karne mein nakam banati hain.

              1. Lack of Knowledge: Bohat se traders ke pass trading ki zaroori taleem aur training nahi hoti. Jab log trading shuru karte hain to unhein is baat ka ehsaas nahi hota ke risk management kya hota hai aur iski kyun zaroorat hai. Jitne bhi successful traders hain, unhein risk management ke tools aur techniques ka pata hota hai aur wo unhein istemal karte hain.

              2. Overconfidence: Trading mein aksar logon ko apni capabilities par ziyada hi bharosa ho jata hai. Ye overconfidence unhein galat decisions lene par majboor karta hai. Wo samajhte hain ke market unke haq mein rahegi aur unhein nuksan ka samna nahi karna parega. Yeh overconfidence unhein zyada risk lene par majboor karta hai jo ke akhrkar unke liye nuqsaan ka sabab banta hai.

              3. Emotional Decision Making: Trading mein jazbat aur emotions ko control karna bohat zaroori hota hai. Aksar log greed aur fear ke hathoon apne decisions ko affect karte hain. Jab market unke haq mein hoti hai to wo greed ke waja se zyada risk le lete hain aur jab market unke khilaf hoti hai to fear ke waja se panic mein galat decisions lete hain. Yeh dono surat-e-haal unke liye nuqsaan ka sabab banti hain.

              4. Inadequate Planning: Risk ko manage karne ke liye ek solid plan ki zaroorat hoti hai. Bohat se traders ke pass koi plan nahi hota. Wo bina kisi planning ke trade karte hain aur jab market unke khilaf jati hai to wo samajh nahi pate ke kya karna chahiye. Aik achi risk management strategy mein stop-loss aur take-profit levels set karna zaroori hota hai.

              5. Ignoring Market Conditions: Market ke conditions har waqt change hoti rehti hain. Bohat se traders market ke conditions ko ignore karte hain aur apne positions ko adjust nahi karte. Har market condition mein different risk management strategies ki zaroorat hoti hai. Agar market volatile ho to zyada conservative approach adopt karna chahiye aur agar market stable ho to thoda zyada risk liya ja sakta hai.

              6. Lack of Discipline: Discipline ka hona trading mein bohat zaroori hai. Aksar traders apni strategy ko follow nahi karte aur impulsively trades le lete hain. Ye impulsive decisions aksar nuqsaan ka sabab bante hain. Discipline ke sath trading karna aur apne plan ko strictly follow karna bohat zaroori hota hai.

              7. Insufficient Capital: Bohat se traders ke pass itna capital nahi hota ke wo risk ko effectively manage kar saken. Agar aapke pass kam capital ho to risk zyada hota hai kyun ke thodi si market movement bhi aapke liye bohat zyada nuqsaan la sakti hai. Sahi risk management ke liye sufficient capital ka hona zaroori hai taake aap market ke fluctuations ko handle kar saken.

              Conclusion: Agar traders in cheezon ko samajh lein aur apne trading practices mein inhe incorporate karein to wo risk ko achi tarah manage kar sakte hain. Knowledge, planning, discipline, aur emotions ko control mein rakhna bohat zaroori hai. Trading ek skill hai jo time ke sath sikhni parti hai, aur jo log is skill ko seekh lete hain wo hi is field mein successful hote hain
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              • #8 Collapse

                ### Traders Risk Management Mein Fail Kyun Hote Hain?
                Forex trading ek high-stakes environment hai jahan profit kamaane ke liye sahi strategies aur risk management ka hona zaroori hai. Lekin aksar traders apne trading careers mein failure ka samna karte hain, aur is failure ka ek major reason risk management ka na hone ya improper risk management hota hai. Aaj hum dekhenge ke traders risk ko manage karne mein fail kyun hote hain aur is problem ko kaise address kiya ja sakta hai.

                **1. Lack of a Clear Plan:**

                Risk management ke bina trading ka ek major reason yeh hai ke traders ke paas ek clear aur detailed trading plan nahi hota. Jab traders ke paas koi structured plan nahi hota, toh woh trading decisions impulsively lete hain aur market ke movements ko accurately predict nahi kar pate. Trading plan mein risk management strategies ko clearly define karna zaroori hai, jaise stop-loss orders aur position sizing.

                **2. Emotional Trading:**

                Emotions forex trading ko severely impact kar sakti hain. Jab traders apni emotions, jaise greed ya fear, ko apni trading decisions par influence karne dete hain, toh woh risk management principles ko ignore kar dete hain. Greed traders ko larger positions lene aur risk ko ignore karne par majboor karta hai, jabke fear unko trading opportunities se door rakhta hai. Emotional trading risk management ko compromise kar sakta hai aur losses ko amplify kar sakta hai.

                **3. Over-Leveraging:**

                Over-leveraging forex market mein ek common problem hai. Jab traders apne trading accounts par excessive leverage use karte hain, toh yeh unki risk exposure ko significantly increase kar deta hai. High leverage ke saath, ek small market movement bhi traders ke capital ko severely impact kar sakta hai. Proper risk management ke liye, leverage ka cautious aur calculated use zaroori hai.

                **4. Lack of Discipline:**

                Discipline trading success ke liye crucial hai. Jab traders apne predefined risk management rules aur strategies ko follow nahi karte, toh woh apne risk ko effectively manage nahi kar pate. Discipline ke bina, traders stop-loss orders ko ignore kar sakte hain ya unki trading strategies ko timely adjust nahi kar sakte. Yeh lack of discipline trading losses ko exacerbate kar sakti hai.

                **5. Inadequate Risk Assessment:**

                Traders aksar market conditions aur potential risks ko accurately assess nahi karte. Risk assessment mein market volatility, economic indicators, aur geopolitical events ko consider karna zaroori hai. In factors ko accurately evaluate kiye bina, traders apne risk exposure ko overestimate ya underestimate kar sakte hain. Yeh inadequate risk assessment trading decisions ko negatively impact kar sakta hai.

                **6. Overconfidence:**

                Overconfidence bhi ek common reason hai jisse traders risk management mein fail hote hain. Jab traders apni trading skills aur market predictions par zyada confident hote hain, toh woh risk factors ko underestimate kar sakte hain. Overconfidence traders ko excessive risk lene aur market ke unpredictable nature ko ignore karne par majboor karta hai.

                **7. Failure to Adapt:**

                Market conditions constantly change hoti hain aur traders ko apni risk management strategies ko adapt karna padta hai. Lekin kuch traders market changes ke sath adapt nahi kar pate aur outdated strategies ko follow karte hain. Yeh failure to adapt risk management ko ineffective bana sakta hai aur traders ko unnecessary losses ka samna karna pad sakta hai.

                **Conclusion**

                Forex trading mein successful risk management zaroori hai, lekin traders aksar various reasons ki wajah se isme fail hote hain. Clear planning, emotional control, disciplined approach, accurate risk assessment, aur adaptability ke bina, risk management ineffective ho sakta hai. In issues ko address karne aur effective risk management strategies ko adopt karne se traders apne trading performance ko improve kar sakte hain aur market mein sustainable success achieve kar sakte hain.
                • <a href="https://www.instaforex.org/ru/?x=ruforum">InstaForex</a>
                • #9 Collapse

                  **Why Traders Fail to Manage Risk?**
                  Forex trading ya kisi bhi financial market mein risk management ek bohat aham hissa hota hai. Magar, bohat se traders is mein kamyab nahi ho pate. Is ki bohot si wajahen hain jo traders ko risk management mein nakami ka samna karwati hain.

                  **Lack of Knowledge**

                  Sab se barhi wajah jo traders risk manage nahi kar pate, wo hai lack of knowledge. Forex ya trading ka koi bhi naya shuru karnay wala trader jab bina proper knowledge ke trading karta hai, to wo risk ko samajhne mein nakam rehta hai. Risk ko manage karne ke liye zaroori hai ke aap market ki volatility, risk-reward ratio, aur stop-loss orders ka istemal ache tareeqe se samajhen.

                  **Emotional Trading**

                  Emotions ka control na karna bhi ek bari wajah hai. Jab traders apne emotions ke base par decisions lete hain, jaise greed (lalach) ya fear (dar), to wo risk ko ignore karte hain. Greed ki wajah se zyada profit ka lalach ya loss ko accept na karna trading ko aur zyada risky bana deta hai. Is tarah ke emotional decisions bohat se traders ko bade losses se do-char karte hain.

                  **No Risk Management Plan**

                  Kuch traders risk management ka plan banate hi nahi. Trading karne se pehle ek solid risk management plan banana bohat zaroori hai. Is plan mein yeh tay karna hota hai ke aap kitna risk lene ko tayar hain, aur kitni capital ko risk mein dalna sahi hoga. Agar yeh plan nahi hoga to har trade ke sath risk zyada ho sakta hai.

                  **Overleveraging**

                  Leveraging ek achi cheez lag sakti hai kyun ke yeh aapko chhoti investment se zyada profit kama kar deti hai. Magar, bohot se traders zyada leverage use karte hain jo unke liye khatarnaak sabit hoti hai. Zyada leverage se market ka chhota sa movement bhi bohat bada loss bana sakta hai. Is wajah se zyada leverage ke sath trade karna bohat zyada risky hota hai.

                  **Ignoring Stop Loss**

                  Bohat se traders stop-loss set nahi karte ya phir usay ignore karte hain. Stop-loss aapko bade losses se bachata hai aur market ke unexpected moves ke against aapko protect karta hai. Jab traders stop-loss ko ignore karte hain, to wo apne capital ko unnecessary risk mein dalte hain.

                  **Conclusion**

                  Risk management ki nakami ki bohot si wajahen hain jisme lack of knowledge, emotional trading, aur overleveraging shamil hain. Ek successful trader banne ke liye zaroori hai ke aap in mistakes ko samjhen aur apne trades ke sath hamesha ek proper risk management plan banayein aur follow karen.

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