Stock Market में Risk Management नहीं समझ आता, तो मत आओ | Big Bull Ep-40 with Yogesh Nanda

Опубликовано: 11 Июнь 2026
на канале: A Digital Blogger
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Most traders you have seen on A Digital Blogger podcast started trading after or during the Covid lockdown. The market was very volatile. They learned quickly and made profits. But this was not the first time when markets were in wild swings.

Before Covid Lockdown there was the Lehman Brothers crisis in year 2008. The market fell like a pack of cards, and today’s Big Bull Podcast Yogesh Nanda is a product of that Lehman crisis.

Yogesh Nanda is a Chartered Account who completed his CA in 2002 and joined the corporate world with a company that was into portfolio management. From there he came to know about the stock market.

Then 2008 happened, Yogesh and His Freind invested money in stocks like Reliance Power and DHFL and they were trading in futures and made handsome profits in a span of 8 to 9 months.

But instead of redeeming their profits and withdrawing them, they kept taking a new position in expectation of high rewards and then things soured in 2008 and they lost all profits they made. For one and a half years Nanda kept himself away from the market and focussed on his job.

In 2014 he started his own investment firm and started his investment journey. The podcast is a mix of technical aspects as well as a psychology of a trader. Also, other things like ill practices happening in stock are discussed at length.
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So please don’t skip the video for a moment and watch out it completely.

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00:00 Intro
02:14 How Yogesh Nanda Came to Know About Stock Market
03:16 His Initial Investment Journey and Corporate Job
12:40 Starting Again With Stock Market
17:55 Managing Risk Reward Ratio
19:55 He Became a Sub Broker
23:00 How Risk Reward Evolves
30:00 Fake Traders in Market