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Fixed Lot vs. Delta Ratio vs. Fractional Ratio
Would someone please tell me how these MM methods work in simple-pimple language? I want to keep some of the "10 Position Max." systems on a shorter leash, and short of the "chose a less agressive system by observing the past data", I need to make such an adjustment.
Also, I did put together a portfolio of >85% WIN and >50 RAR but with max. positions between 6 and 2....... guess what happened? NOTHING. For 48 hours not ONE trade. So I am back to the more aggressive ones.
PLEASE HELP!
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