Hello,
first real post here (but longtime lurker)...
i 've forward tested (7 months now, real account, 1:100 leverage, 1K Deposit, 65 trades, compounding strategy, +700%, aggressive risk 10% ) a system with a very high win rate (about 96%), but with a very bad r:r (about 3:1, sometimes like today 4:1).
How would you trade this in terms of money management?
I'm quite unsure what to do with this...investing more, forgetting, lowering leverage, hedging...
thx
pokrat
first real post here (but longtime lurker)...
i 've forward tested (7 months now, real account, 1:100 leverage, 1K Deposit, 65 trades, compounding strategy, +700%, aggressive risk 10% ) a system with a very high win rate (about 96%), but with a very bad r:r (about 3:1, sometimes like today 4:1).
How would you trade this in terms of money management?
I'm quite unsure what to do with this...investing more, forgetting, lowering leverage, hedging...
thx
pokrat