

Risk management
Position size, stop placement, and correlation matter more than any single entry. Structure risk so one headline or gap cannot erase months of disciplined execution.
24/7
Support
2,400+
Markets
MT4·5
Platforms
RAW ECN
Pricing

Fixed fractional and R-multiples
Size
Risk a consistent fraction of equity per trade — often 0.5–1% for discretionary FX — and express targets in R so wins and losses stay comparable across symbols.
- ·Use portal margin calculator before size-up
- ·Account for spread + slippage in stop distance
- ·Reduce size into major news if you stay in

Correlation and exposure caps
Portfolio
Long EUR/USD plus long GBP/USD is not two independent bets. Cap total USD exposure and index beta so one theme does not dominate the book.
- ·Map FX crosses vs USD leg
- ·Limit concurrent correlated CFDs
- ·Hedge with indices or gold when planned
Why traders choose FP Markets
Fixed fractional and R-multiples
Risk a consistent fraction of equity per trade — often 0.5–1% for discretionary FX — and express targets in R so wins an…
Correlation and exposure caps
Long EUR/USD plus long GBP/USD is not two independent bets. Cap total USD exposure and index beta so one theme does not …

Model risk on demo
Stress-test position size through London open and NFP on a demo account.