Risk · 7 min read

How to Manage Risk

How to size your positions, avoid stacking correlated trades, and protect your account over the long run.

This lesson is part of the Musa X education library. Every module is written around one simple idea: give you a clear, repeatable way to approach the market instead of guessing.

Why this matters

Good results come from following a process, not from predicting the next candle. Before you enter a trade you should already know where you are wrong, how much money is at risk, and what would make you close early.

Applying it

Inside the Musa X community you get the practical side of this material, with real chart examples explained step by step as setups develop during the London and New York sessions.

For educational purposes only. This is not financial or investment advice.

Join Signals Community (US$99/mo)