Quote from Vince1:
I would calculate the leverage as the ratio of the economic value of the positions to the available capital. Say 3 long ESTX50:
3 * 3991 * 10 = 119,730 euros
On a 20k euros account this is a 6:1 leverage (assuming no offsetting position).
On a directional trade, it is not considered conservative trading...
Now, as Soros said, leverage is a two edged sword. It works both on the risk side and the return side.
If, on the risk side, you have a money management plan to handle a loosing streak you'll be fine++
So you think 6:1 is too much. What's typical among successful hedgefunds? Eurostoxx50 isn't that volatile, it's crawling most of the times, so 6:1 "feels" ok to me. (On the other hand, even 1 contract on GBL "feels" like too much risk).
Anyway, admittedly I don't seem to have a rock-solid money management. I rather work with a few rules-of-thumb, which work OK for me so far.
after all) with a neckline at 4019, and min target up to 4052.