Why Most Losing Traders Lose the Same Way

Sep 24, 2026
Why Most Losing Traders Lose the Same Way
Trading Psychology · 4 min read

Talk to enough traders who’ve blown through accounts, and you’ll notice something: the stories all sound alike. The losses aren’t random — they follow a documented pattern, and recognizing that pattern in yourself is usually the first real step toward fixing it.

01Emotional position sizing
02Holding losers, cutting winners
03Trading to recover
01

They size positions emotionally, not systematically

After a losing streak, fear shrinks their position size; after a win, confidence inflates it. Position sizing ends up driven by mood instead of a fixed risk plan applied consistently, which means the account’s risk profile is constantly shifting even when the underlying strategy hasn’t changed at all.

02

They hold losers and cut winners — this has a name

In a landmark 1998 Journal of Finance study, economist Terrance Odean analyzed 10,000 brokerage accounts and found investors were far more likely to sell a winning position than a losing one — the disposition effect.

1.7×

More likely to sell a winner than a loser. Odean, 1998 — based on 10,000 brokerage accounts.

It’s the exact opposite of a rational strategy, and it shows up regardless of how sophisticated the trader believes they are, which is part of why it’s so persistent.

03

They trade to recover, not to execute a plan

Revenge trading after a loss is one of the most consistent account killers there is — it replaces strategy with emotion at the exact moment discipline matters most. The next trade taken purely to “win back” a loss is rarely evaluated on its own merits.

Conclusion

The behavior gap, not the strategy gap, is what separates profitable traders from unprofitable ones. Fix the behavior first — the strategy improvements tend to matter far less until that foundation is in place.

Fix the behavior first. The strategy comes second.

This article is for educational purposes only and does not constitute investment advice. Trading CFDs and other leveraged products carries a high level of risk and may not be suitable for all investors.

VCG Markets Logo
Informasi

Situs web ini dioperasikan oleh VCG Tech Limited (No. Perusahaan HE452446), dengan kantor terdaftar di Agias Fylaxeos & Zinonos Rossidi, 2, 1st Floor, 3082 Limassol, Cyprus. VCG Tech Limited bertindak sebagai perusahaan merchant untuk pemrosesan setoran dan penarikan dana nasabah.

Perdagangan Forex bermargin dan CFD merupakan produk dengan leverage dan dapat mengakibatkan kerugian yang melebihi setoran Anda. Nilai investasi dapat turun maupun naik, dan Anda mungkin menerima kembali kurang dari investasi awal Anda. Pastikan Anda benar-benar memahami risiko yang terlibat dan pertimbangkan apakah perdagangan tersebut sesuai untuk Anda.

Panggilan telepon dan komunikasi elektronik dapat direkam dan dipantau untuk tujuan penjaminan mutu, kepatuhan, dan pelatihan.

Informasi pada situs web ini disediakan hanya untuk tujuan informasi umum dan bukan merupakan saran investasi, rekomendasi, atau ajakan untuk melakukan aktivitas investasi apa pun.

VCG Markets tidak memberikan saran perpajakan. Undang-undang perpajakan dapat berubah atau berbeda antar yurisdiksi.

Informasi pada situs web ini tidak ditujukan bagi penduduk Amerika Serikat, Belgia, Kanada, Singapura, atau yurisdiksi mana pun di mana akses terhadap informasi tersebut bertentangan dengan hukum atau peraturan setempat.


Hubungi Kami
+23052970988
Ikuti Kami
FacebookLinkedinYoutubeInstagram