Risk Management

Over-The-Counter (OTC) markets require very tight risk management as they are very volatile. At 1000 Extra we can help you develop an efficient investment product portfolio with secure risk management that is right for you, always monitoring the returns on your investments.

You must be conscious of the volatility inherent in financial markets because of the continuously breaking news on the economy, particular political events, incidents of force majeure such as accidents or natural disasters, or legal situations. That is why it is extremely important to understand and know how to read the market and its intrinsic risks. Our experts continually analyze and anticipate the risks, and you will always find them ready to help you.

Today, more than ever, we can learn to identify the risk factors and apply best practices to check them. Risk management includes several aspects which come together to help defend you before the market: different strategies, diversification of your investment portfolio, various types of market orders, execution procedures, technical and fundamental analysis and very importantly, emotional control, or what is known as ‘trading psychology’ In short, holistic strategic planning that will help you keep control of your investment.

If you want more detailed information on risk management strategies, please contact our experts.