Great job. Can you provide a screenshot of it for us ? What did u primarily trade to get there ? Where u holding overnights ? IF ES, how many lots were u averaging.
I am late starting to read this thread. Yes, higher frequency of a well thought out system does lower risk of ruin. Think of tennis. A top player has a chance of losing out to a weak player in a single match but the possibility does exists. This possibility lessens with every additional match to a point where in ten matches the top player's possibility of loosing is almost zero. Similarly a casino wins against a player over time in the reverse of this. This concept is pretty widely known in option trading where statistics are more prominent part of structuring the trade. Individual beginning traders hope for one big win while the pros grid it out. Regards, GC
How were you trading March 2018 SP contracts in September of 2018? Are you exploiting your broker again? *tsk tsk* Stop with the Apserger's thing. If you really want people to accept you for who you are, don't preamble your very first post with "I have a dis-ease, so give me slack". Yer making 10 million a year now in your account. Why should you be given a pass? 10 million now. Wow. Why does your "half-disabled" matter at this point?
By the end of the year i will arrive at 30/50 mln €. The new strategy uses big sizes on the European and American equity markets. every day it trades on about 60/80 European large and mid cap stocks and 60/80 US stocks. all intraday and balanced long / short (when the portfolio has an imbalance i use futurs coverage) You will understand that the strategy does not affect the direction of the markets. Earnings are greatly reduced when volatile periods occur but it is a method to lower risk. (I call it ping-pong problem). Although I have to be honest, this ping pong problem does not have much influence on the strategy. Instead of lowering the size, it is better to lower the number of stocks and avoid those with less probability. Compared to the other 2 strategies that have modest size limits this strategy has a huge potential that will lead me to earn even 5-10 mln a day. I really need a lot of money. but I will not go to any speculations bank or hedge funds discretionary / quantitative to prove my quantitative strategy. Better to grow slowly. And keep the private thing not to be tortured and killed :/ One day I'd like to open my prop trading firm company in Italy but it's really difficult, as there are too stringent regulations perhaps better in the Netherlands. The goal is to enter the business "slow" market making. I will add healthy and non-toxic liquidity. bye bye