Gestão de Risco para Traders de Mercados de Previsão
Como dimensionar posições, definir stop-loss, diversificar entre mercados e sobreviver a drawdowns. A parte chata que separa os vencedores dos perdedores.
How to size positions, set stop losses, diversify across markets, and survive drawdowns. The boring stuff that separates winners from losers.
## What You'll Learn
This article will cover:
- The core concept and why it matters for prediction market traders - Concrete examples with numbers, not just theory - Common mistakes that destroy returns - Practical workflow you can apply immediately - Tools and resources that help
## Why This Matters
Most prediction market traders lose money over time. The ones who win consistently have systematic processes, not magical strategies. Understanding risk management for prediction market traders is part of building that process.
This post breaks down the topic in plain English with the kind of detail you'd want from a friend who's been trading for years — not the kind of generic overview you find on most blogs.
## Coming Soon — Full Article
This article is being expanded with full content. In the meantime, the topic is covered in our scanner, bot builder, and AI chat features within the Predite platform.
If you have specific questions about risk management for prediction market traders, you can: - Ask the AI Market Chat at predite.io/dashboard/chat - Check our docs at predite.io/docs - Email us at hello@predite.io
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