The reason 90% of traders get liquidated isn't bad luck. It's bad risk management.
Most focus on WHERE to enter. Smart traders focus on WHERE to exit.
SAME 50 TRADES. 50% WIN RATE.
1:1 ratio = Break even
1:3 ratio = +$5,000 profit
Same account. Same skill. Different outcome.
THREE RULES
Risk 2% per trade = survive 10 losses
Risk 10% per trade = liquidated after 3 losses
Exit plan comes BEFORE entry. Know your SL and TPs before you buy.
Never move your stop loss. That's how small losses become account killers.
THE MATH
$10,000 account. 100 trades.
Conservative: Risk 2% → +$16,000 (+160%)
Aggressive: Risk 10% → +$65,000 BUT one bad week = rekt
Boring = profitable.
Home runs come from proper sizing. Not YOLO.
Your account in 6 months depends on decisions you make TODAY.
Comment "DISCIPLINE" if you're committing to proper risk management 👇