Rules:
Up to 10% risk with goal to scale down when portfolio grows or gets rekt.
Every double is 30% risk reduction until 1% is reached.
Every 25% drawdown is 30% risk reduction, until 1% is reached.
Margin call is refill.
Mostly mechanical calls.
Momentum catchers allowed, but preferably mechanical calls.
Max 2 floating positions a time
Every double is 1 extra position allowed, until a max of 5 is reached.
FX, commodities and indices.
No crypto and weekends is off.



No pain, no gains