Search results

  1. S

    How will you manage risk if you are restricted from using cut-loss method?

    Dunn capital uses VAR risk metrics to scale in and out of position. If you think of it, the expectation of whether a commodity or indices will go up or down is based a continuous distribution. Hence it will be more optimal to have dynamic position sizing that correspond to forecast or...
  2. S

    Do low beta stocks/funds have any alpha?

    AQR wrote a paper on it
  3. S

    Need desperate help (Lost life savings)

    Systemize your trading
  4. S

    What is this guy doing?

    @globalarbtrader yes I saw that on Fundseeder too and joked to my friend that he could be from Ren Tech haha
  5. S

    2021: Pictures Of Your Trading Stations

    Argh. I never figured out IB controller. But logging in just once a week to restart my IB gateway seem to deter me from figuring IBC out.
  6. S

    Fully Automated Trading Journal - $50k per month goal

    Wow this is such an efficient use of capital.
  7. S

    2021: Pictures Of Your Trading Stations

    I believe it's a headless set up. He probably just need to SSH in.
  8. S

    Vixy reaching new lows, time to buy?

    I backtest using python. And fully automated the execution too using the tech stack IB gateway - Python - Ubuntu. Just read up anything written by Robert Carver and Ernest Chan and you will uncover gems along the way. Have fun.
  9. S

    Vixy reaching new lows, time to buy?

    Short VIX when at contango (90+% of time) and long vix at backwardation. Can do a simple comparison of spot vs future. Or do a regression across the futures to get the slope. Long svxy and Long vxx more efficient because you can avoid borrowing fee. But match the leverage in position sizing. I...
  10. S

    Vixy reaching new lows, time to buy?

    You can easily do a backtest. Point of entry when vix structure flips, there's still some room to run. Most of the time, you should short vix instead. Such a strategy would bring you Sharpe of 0.9 with 0 correlation to broad markets.
  11. S

    Vixy reaching new lows, time to buy?

    Buy only when term structure flips
  12. S

    The largest amount that retailer could manage &

    Is 50-100 million risk capital (net liquidation value) or underlying asset value?
  13. S

    The “automated vs. mechanical vs. discretionary” trading debate

    And leveraged trading too. Which is easier to comprehend and internalise.
  14. S

    Hilarious, trying once again fix the wealth gap. Been hearing this for decades....

    Wealth compounds I guess which results in widening gap
  15. S

    The “automated vs. mechanical vs. discretionary” trading debate

    Automated trading probably have higher average but lower spread/variance in results relative to discretionary trading (not talking about chart reading day traders). In discretionary trading, you can create and execute trade plans with outsized profits potential (talking about hundred to few...
  16. S

    naked x3 GME march calls with IB

    I sold 2 puts at the lowest price level just for fun. With the implied vol at 400%, thought there's some margin of safety there. Betting on theta and vega decay.
  17. S

    Fully automated futures trading

    @HobbyTrading
  18. S

    Has anyone looked at long term strategy of looking at just buying real growth/low money printing?

    It doesn't matter if you are not not buying futures. The futures market is not predictive for spot prices. I suggest that you look up investopedia or some other places to understand how futures work.
  19. S

    Fully automated futures trading

    I'm sure all the statistical arbitrage (I presume? Mix of interday and intraday) stuff you are doing is not trivial either - mathematically, programming wise.
Back
Top