Risk Catagories, for lack of a bette term

Is it a certain percentage (2, 5, 10 or 50 percent) of a trade size margin, unmargined cost or an account that provides of a good stop?
%%
WON used a %;
good .
7 or 8% max max stop on single stock ;
50% sounds too much. EVEN though one fund was named ''60% drawdown, did well for several year, dont know if they blew up or not.
Most trend followers may average more than 7-8% stop;
except Scott Ramsey uses less.
Dave Ramsey use no stop in stock market but buys diversified funds most of which average > SPY benchmark/long term average..............................................
I also like WO'N suggestion, not a rule, sell the worst + or lessor of the gains, usually.:D:D
SOME trend folloWers in RE never use a stop; i used a time stop when selling RE thru a REALTOR +worked well+ seldom hit that time stop, property usually sold:caution::caution:
 
CTAs might use a multiple of ATR (2,3,4x)
I don’t know for sure and they might use different strategies.

If you know how to read a chart and your stuff isn’t automated then go with @deaddog

Otherwise you can assume your position can go to zero. Don’t use stop and deleverage.
 
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