I have a strategy which was 85% accurate with 1:1.2 Risk:reward rate in first 7 months of this year amongst a number of pairs, if strategy in past two months is is around 55% should I scrap it? (overall at the moment including past two months it's dropped to 75%)
I'm a bit undecided as to what to do..
Any pointers would be most appreciated!
If anyone has encountered this in their trading past let me know your experience please!
Regards
-Mike
I'm a bit undecided as to what to do..
Any pointers would be most appreciated!
If anyone has encountered this in their trading past let me know your experience please!
Regards
-Mike
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