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General risks. Substantial risk inheres when trading global equities. Profit is never guaranteed; prices move and total loss is possible. Past results of any strategy or asset predict nothing.

Leverage. Leverage magnifies gains and losses alike. Minor price moves might set off margin calls and, if unmet, forced liquidation at poor prices. Margin lending adds forced-liquidation risk when collateral falls.

Execution risk. Volatile sessions can stretch spreads, lift slippage and slow or stop fills at your intended price. Stop-loss orders hold no guaranteed fill price.

Technology risk. Access rests on network and third-party infrastructure. Brief outages can block position management. High availability exists, but uninterrupted service is not promised.

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