Polarbear's number is not outrageous and he knows what he is doing.
He is forcing risk management on himself by limiting amount of equity in the account. It also protects him from broker misappropriating his funds. It is good risk management practice.
If you understand leverage, you will see polarbear's number is equivalent to
85% return, 6% DD, and 3.5 sharpe.
Not outrageous. The TRUE DD and RETURN should be calculated based on his trading account and his cash/deposit account.
njrookie
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Very odd. Polarbear in the journal forum, trader p/l ,is getting 850% pct return, 3.5 Sharpe, max DD of 60%. And I get crap for saying 30-40%? Yikes.
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He is forcing risk management on himself by limiting amount of equity in the account. It also protects him from broker misappropriating his funds. It is good risk management practice.
If you understand leverage, you will see polarbear's number is equivalent to
85% return, 6% DD, and 3.5 sharpe.
Not outrageous. The TRUE DD and RETURN should be calculated based on his trading account and his cash/deposit account.
njrookie
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Very odd. Polarbear in the journal forum, trader p/l ,is getting 850% pct return, 3.5 Sharpe, max DD of 60%. And I get crap for saying 30-40%? Yikes.
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