I was curious if some of you guys could post your typical stop losses and max drawdowns. Late Apex, i noticed on another topic that you had posted some very good (IMHO) 27pips/week results. But i was very curious about your comment of a max DD of only 10%? And the lower leverage was quite interesting... i think you mentioned between 4 and 9:1. I was thinking of starting at about only 4:1 myself. For me though, i would like to use a %risk position sizing model. I am currently trading stocks and will continue to do that .... i am just considering expanding into FX. I have not yet even put on a single real (or demo) FX trade, so I am very new to this.
Thanks guys for the responses
Thanks guys for the responses
