So what is the conclusion to getting a decent strategy?
The other conclusion is, you can make money on both side of the R:R spectrum, as long as you get a +EV value out of it
(avg win x win %) - (avg loss x loss %)
- Need to let the fat tail profit trades to occur
- b/e minimizes downward swings
- Need to remove outlier losing days by setting max loss.
The other conclusion is, you can make money on both side of the R:R spectrum, as long as you get a +EV value out of it
(avg win x win %) - (avg loss x loss %)
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