Quote from MarkBrown:
the model uses data 2 to trigger the trade and then when it fails it is using the data 1 series to determine the failure - is that slick?
m
Ok, and I'll restate it in my own words to be sure I'm on the right track:
- data 2 gives the long entry signal, because presumably I've found data 2 leads data 1 by some amount of time
- data 1 has the stop or "non-confirmation level" or "relationship no longer holds level" to determine the failure
Sorry if it was stated before, but which data series gives the signal to exit for a profitable trade?
thanks
