An Initial major blunder on inception with Crude sizing saw a 35% Loss on this platform after an outsize trade was placed, attempts to trade out of it, probably delayed the inevitable. Performance would be better than the LAT Position strategy marginally had this not happened. Lesson learnt, excuses count for little.

Since this point consistent clawback with correct and moderated sizing has seen this account correctly within money management sizing make a 50% gain to return it to initial equity levels and will now progress effectively forward from here.

Trading the HVF strategy.
He who dares wins!