I am an ES and ER trader.
I would like to get some input on other traders risk tolerance.
My risk :
1% max.of account balance on any trade
10 trade per week max.
Tend to close out trades early to maintain a high win %
Sometimes exit is right at end of move and other times a lot is left on the table. I guess that's par for the course to maintain a high win %, but looking at past trades I would be better off settling for a lower win % and letting some of the winners run more.
After a few losers I tend to reduce size which ends up
slowing things down ,but takes much longer to get back to the equity high.
Interested in others thoughts.
I would like to get some input on other traders risk tolerance.
My risk :
1% max.of account balance on any trade
10 trade per week max.
Tend to close out trades early to maintain a high win %
Sometimes exit is right at end of move and other times a lot is left on the table. I guess that's par for the course to maintain a high win %, but looking at past trades I would be better off settling for a lower win % and letting some of the winners run more.
After a few losers I tend to reduce size which ends up
slowing things down ,but takes much longer to get back to the equity high.
Interested in others thoughts.