Quote from increasenow:
great thread..
1-what pairs do you follow?
2-which pair(S) do you trade most of the time?
3-how many hours or days do your trades last?
4-mini or micro lots?how many at one time?
5-looks like you allow for huge drawdowns...how do endure that?
6-are most of your setups at night like 10pm est ny time?
...best trading to you!
Hey IncreaseNow, good questions, here are my answers:
1. EURUSD, USDCHF, USDJPY, GBPUSD, USDCAD, AUDUSD, NZDUSD, AUDNZD, AUDJPY, CHFJPY, EURGBP, EURAUD, EURJPY, EURCAD, GBPCHF, GBPJPY, CADJPY, NZDJPY, EURCHF, CADCHF, AUDCAD, AUDCHF
2. See above, not really sure which pair gives more signals than the others.......if there even is one.
3. The average, at the moment, is just under 12 hours.
4. This just depends on stop placement. For my own $ I risk up to 3%, for others I keep it constant at 0.75%
5. Not sure what you mean, the last drawdown was Nov 20th at -0.58% - I generally don't worry about drawdowns since the maximum risk (the stop) is defined at the beginning.
6. Great question. I generally know if I am going to trade the following EU session at 4:00pm NY time. And then the entries don't come for me until at least 8 hours after that ... generally. My preference is to get into the trade with some push so I can move the stop to B/E as soon as possible.