Hi
Who else has taken a look at that report from v. tharp ?
hope some of you did .. so that we can discuss some models..
where he shows different models of money management . i would be interrested on your opinions and wich model or wich mix of models would be best to be applied on forex in general ?
i thought about the percent margin model ,the volatility model , group control , periodic money management adjustments.. core equity , and total core equity ..
i thought about mixes like .. base equity risk is controlled by the percent margin and the single trades are maneget via volatility .. or vice versa ?
looking for some input from you guys..
cheers
Who else has taken a look at that report from v. tharp ?
hope some of you did .. so that we can discuss some models..
where he shows different models of money management . i would be interrested on your opinions and wich model or wich mix of models would be best to be applied on forex in general ?
i thought about the percent margin model ,the volatility model , group control , periodic money management adjustments.. core equity , and total core equity ..
i thought about mixes like .. base equity risk is controlled by the percent margin and the single trades are maneget via volatility .. or vice versa ?
looking for some input from you guys..
cheers