P&L is an obvious choice but how can you "rate" it. When is a system/edge good enough?
I've been testing a method (on indexfutures) the last 6 months with following results :
Style = intraday, 1 trade/day
Risk each trade= 1% of account
Reward = on average 2% each month
Biggest drawdown is 3%
I've been testing a method (on indexfutures) the last 6 months with following results :
Style = intraday, 1 trade/day
Risk each trade= 1% of account
Reward = on average 2% each month
Biggest drawdown is 3%