As a complicated financial trading product, contracts for difference (CFDs) have the high risk of rapid loss arising from its leverage feature. Most retail investor accounts recorded fund loss in contracts for differences. You should consider whether you have developed a full understanding about the operation rules of contracts for differences and whether you can bear the high risk of fund loss.
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Streaming Lecture
Streaming Lecture: 1/23, 2024
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Streaming Lecture
Streaming Lecture: 1/23, 2024
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Streaming Lecture
Streaming Lecture: 1/23, 2024
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Streaming Lecture
Streaming Lecture: 1/23, 2024
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Streaming Lecture
Streaming Lecture: 1/23, 2024
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Streaming Lecture
Streaming Lecture: 1/23, 2024
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Streaming Lecture
Weekly Outlook: 1/7 – 1/13, 2024
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Mubarakshin Marat Azatovich is a chief analyst with a professional financial education background, graduating from the Kazan Banking School and Kazan Federal University of Economics (KFEI). With 11 years of extensive experience in financial market trading and analysis, he has held the position of chief analyst in multiple platforms.
As a seasoned trader, Marat possesses excellent technical analysis skills and firmly believes that successful trading is built upon discipline, clear strategies, and risk management techniques. He considers market research and analysis to be the most crucial aspects of the trading process, allocating 90% of his time to in-depth market research, trend analysis, and price fluctuations, and only 10% of his time to actual trading operations.
Mubarakshin Marat Azatovich is a chief analyst with a professional financial education background, graduating from the Kazan Banking School and Kazan Federal University of Economics (KFEI). With 11 years of extensive experience in financial market trading and analysis, he has held the position of chief analyst in multiple platforms.