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Programs P06
Module P06-M01
P06-L01
Risk budget and loss limits
P06-L02
Position sizing across instruments
P06-L03
Expectancy and outcome distributions
P06-L04
Drawdown and recovery mathematics
Module P06-M02
P06-L05
Correlation and concentration
P06-L06
Leverage funding and liquidation
P06-L07
FOMO revenge trading and process bias
P06-L08
Risk review and stress simulation