I would appreciate if everyone could help me "brainstorm" what a system compromises of. Divided into three sections as well; method, money management, and risk, which i suppose could go hand in hand with MM, but lets keep them seperate for now.
Method
General method
entry
exit
stoploss
lots
currencies
timeframe(s)
General rules
Money Management
Maximum % risk per trade
Diversification
Hedging?
Risk
-----------------
Please feel free to add on.
Any input is greatly appreciated, thanks.
Method
General method
entry
exit
stoploss
lots
currencies
timeframe(s)
General rules
Money Management
Maximum % risk per trade
Diversification
Hedging?
Risk
-----------------
Please feel free to add on.
Any input is greatly appreciated, thanks.