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Фильтр по темам ✕ Очистить (behavioral-finance)
#beginners 86#technical-analysis 63#advanced 57#risk-management 48#forex 43#foundations 42#psychology 42#candlesticks 40#indicators 38#glossary 37#reference 37#compliance 35#fibonacci 31#macro 30#fundamental-analysis 30#tools 27#patterns 25#stocks 23#sentiment 22#price-action 22#price-structure 22#crypto 21#technicals 21#algorithmic 21#quant-trading 21#market-structure 20#trading-systems 20#backtesting 20#smart-money-concepts 20#elliott-wave 19#wave-theory 19#intermarket 19#platforms 19#market-cycles 19#wyckoff 18#taxes 18#positioning 18#regulation 18#behavioral-finance 18#statistics 18#quantitative 18#market-phases 18#supply-demand 17#zones 17#commodities 17#trading-plan 17#journal 17#trading-styles 17#comparison 17#portfolio-theory 17#money-management 17#vsa 16#volume-analysis 16#market-profile 16#volume-profile 16#chart-patterns 16#trading-business 16#operations 16#order-flow 16#tape-reading 16#advanced-charting 16#prop-firm 16#pivot-points 13#institutional 13#smart-money 12#fundamentals 11#seasonality 11#Crypto 10#strategies 9#harmonic-patterns 9#chart-types 9#funding 9#economic-data 8#etfs 8#accumulation 7#beginner 7#currency 7#etf 7#smc 7#systems 7#evaluation 7#harmonic 7#discipline 7#basics 6#macroeconomics 6#valuation 6#stop-loss 5#position-sizing 5#strategy 5#income 5#Technology 4#emotions 4#central-banks 4#options 4#analysis 4#Web3 3#DeFi 3#Risk Management 3#risk-reward 3#trading-strategies 3#metrics 3#monetary-policy 3#financial-statements 3#derivatives 3#bonds 3#indices 3#defi 3#support-resistance 2#breakouts 2#bias 2#portfolio 2#volatility 2#vix 2#ratios 2#value-investing 2#earnings 2#dividends 2#short-selling 2#corporate-finance 2#margin 2#fixed-income 2#trading 2#safe-haven 2#energy 2#trading-mistakes 1#Foundations 1#Regulation 1#Stablecoin 1#Staking 1#Layer2 1#Security 1#Trading 1#mistakes 1#moving-averages 1#trendlines 1#gaps 1#channels 1#rules 1#routine 1#mindset 1#take-profit 1#health 1#labor-market 1#market-psychology 1#sector-rotation 1#safe-havens 1#profitability 1#leading-indicator 1#market-cap 1#income-statement 1#inflation 1#cash-flow 1#balance-sheet 1#value 1#corporate-actions 1#screeners 1#sectors 1#dilution 1#reits 1#real-estate 1#penny-stocks 1#day-trading 1#greeks 1#brokerage 1#leverage 1#ipo 1#inverse 1#index-funds 1#growth 1#futures 1#covered-calls 1#diversification 1#cash-secured-puts 1#blue-chips 1#after-hours 1#yield-curve 1#stablecoins 1#silver 1#precious-metals 1#on-chain 1#oil 1#nfts 1#natural-gas 1#gold 1#ethereum 1#dollar 1#wallets 1#security 1#exchanges 1#copper 1#industrial-metals 1#bitcoin 1#altcoins 1#agriculture 1#grains 1

Показано 18 статей в #behavioral-finance

#behavioral-finance

Sunk Cost Fallacy: Why Traders Hold Losers Too Long

Defeat the sunk cost fallacy with pre-defined invalidation, time stops, and a reframe that asks whether you would enter the position fresh today.

#behavioral-finance#psychology

Self-Attribution Bias and Systematic Trading Errors

Stop crediting wins to skill and losses to luck; use blind review, pre-mortems, and variance isolation to find systematic errors in your trading.

#behavioral-finance#psychology

Overconfidence and Frequent Trading: The Turnover Penalty

See how overconfidence drives excessive trading frequency, the Odean turnover-and-underperformance findings, and concrete limits to slow yourself down.

#behavioral-finance#psychology

Loss Aversion: How It Wrecks Trading Performance and the Fixes

Learn how loss aversion distorts risk-taking, cuts winners early, and lets losers run, plus concrete fixes using R-multiples and hard stops.

#behavioral-finance#psychology

Herding Effect: Chasing Hot Stocks and the Late-Entry Trap

Recognize herding and FOMO entries at market tops, filter crowd-driven spikes, and use pullback entries with relative-strength ranking.

#behavioral-finance#psychology

Endowment Effect: Why Traders Refuse to Stop Out

Overcome the endowment effect — overvaluing held positions — with abstraction, pre-set automated stops, and accountability review of open risk.

#behavioral-finance#psychology

Anchoring Bias: How It Harms Your Stop-Loss Placement

Stop anchoring to entry prices and round numbers; use ATR-based and market-structure stops to place exits where the thesis actually fails.

#behavioral-finance#psychology

Kahneman System 1 and System 2 in Trading

Your brain runs two systems — System 1 fast and emotional, System 2 slow and analytical — and in trading the battle between them is the battle between your plan and your impulses.

#behavioral-finance#psychology

Self-Attribution Bias and Trade Review

Self-attribution bias credits successes to skill and blames failures on luck, and in trading it protects your ego by editing the cause of every outcome at the cost of lessons never learned.

#behavioral-finance#psychology

Overconfidence and Trading Frequency

Overconfidence is the systematic overestimation of one's own ability, and the most documented bias in finance consistently pushes traders toward excessive trading frequency.

#behavioral-finance#psychology

Loss Aversion and Gain/Loss Asymmetry

A $1,000 loss feels roughly twice as painful as a $1,000 gain feels good, and that single asymmetry formalized in prospect theory drives more trading mistakes than any other bias.

#behavioral-finance#psychology

Herding Effect and Market Bubbles

Herding is the tendency to imitate the actions of others under uncertainty, and individually rational it produces the collectively catastrophic outcomes we call bubbles.

#behavioral-finance#psychology