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Tag: risk management

Best Trading Strategies for Prop Firm Evaluation Accounts

Trading strategies for evaluation accounts with risk control and technical execution

Trading strategies for evaluation accounts should match drawdown rules, use clear stops, and avoid fragile recovery systems.

How to Trade a Prop Firm Account Without Gambling

Trade a funded account without gambling using process and risk control

Trade a funded account without gambling by using small risk, daily stops, clear setups, and a business-first execution plan.

How to Use ATR for Forex Stop Loss and Position Size

ATR for forex stop loss and position sizing on currency charts

ATR for forex stop loss helps traders place realistic stops, adjust position size, and respect volatility across different currency pairs.

The Difference Between Technical and Macro Forex Trading

Technical and macro forex trading shown as two layers of one process

Technical and macro forex trading are different layers of one process: macro creates bias while technical analysis defines execution.

The Valeron Approach to Forex: Macro Bias, Technical Execution

The Valeron approach to forex combining macro bias and technical execution

The Valeron approach to forex starts with macro bias, filters currency strength, waits for technical execution, and protects capital through risk control.

How Valeron Markets Turns Data Into Trading Decisions

Valeron Markets turning macro sector technical and risk data into trading decisions

Valeron Markets turns data into trading decisions by converting macro, sector, technical, and risk signals into a structured process.

The Valeron Thesis: Markets Are Efficiently Inefficient

Efficiently inefficient markets concept shown through data charts and imperfect market behavior

Efficiently inefficient markets create opportunity because prices process information quickly but still leave exploitable gaps in behavior and structure.

Why We Track the Yield Curve Before Market Sentiment

Yield curve analysis used before market sentiment in a professional macro trading process

We track the yield curve before market sentiment because rates often reveal stress, caution, and regime change before narratives adjust.

How to Combine Technical Analysis With Long-Term Investing

Technical analysis combined with long term investing decisions

Technical analysis long-term investing can improve entry timing, risk awareness, and position management without turning investors into overtraders.

How to Use Interest Rates to Understand Market Risk

Interest rates used to understand market risk and stock allocation

Interest rates market risk analysis helps investors understand valuation pressure, sector behavior, and the broader tone of capital markets.

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