Edit Your Comment
What is a proper risk of ruin percent on myfxbook?
Feb 03, 2019 at 08:28
会员从Oct 23, 2018开始
3帖子
Hi everyone,
I am running a bi directional grid trading strategy and my risk of ruin currently shows I have a <.01% of losing 10% of my balance with 35 consecutive losing trades. Is this considered good or bad on myfxbook?
I was also curious if anyone knew what a proper sharpe ratio is? Mine is currently .29, does anyone know if that is considered good or bad?
Thanks!
I am running a bi directional grid trading strategy and my risk of ruin currently shows I have a <.01% of losing 10% of my balance with 35 consecutive losing trades. Is this considered good or bad on myfxbook?
I was also curious if anyone knew what a proper sharpe ratio is? Mine is currently .29, does anyone know if that is considered good or bad?
Thanks!
Feb 04, 2019 at 10:04
会员从Feb 22, 2011开始
4862帖子
PeterLoew posted:
Hi everyone,
I am running a bi directional grid trading strategy and my risk of ruin currently shows I have a <.01% of losing 10% of my balance with 35 consecutive losing trades. Is this considered good or bad on myfxbook?
I was also curious if anyone knew what a proper sharpe ratio is? Mine is currently .29, does anyone know if that is considered good or bad?
Thanks!
That risk of ruin is completely useless
You have to calculate it yourself based on your strategy risk setting
Feb 08, 2019 at 07:40
会员从Oct 23, 2018开始
3帖子
togr posted:PeterLoew posted:
Hi everyone,
I am running a bi directional grid trading strategy and my risk of ruin currently shows I have a <.01% of losing 10% of my balance with 35 consecutive losing trades. Is this considered good or bad on myfxbook?
I was also curious if anyone knew what a proper sharpe ratio is? Mine is currently .29, does anyone know if that is considered good or bad?
Thanks!
That risk of ruin is completely useless
You have to calculate it yourself based on your strategy risk setting
Oh okay, that is good to know! I was worried that maybe this helps dictate how good my strategy is doing.
Thanks for the insight.
Feb 08, 2019 at 17:15
(已编辑 Feb 08, 2019 at 17:22)
会员从Dec 28, 2013开始
171帖子
togr posted:PeterLoew posted:
Hi everyone,
I am running a bi directional grid trading strategy and my risk of ruin currently shows I have a <.01% of losing 10% of my balance with 35 consecutive losing trades. Is this considered good or bad on myfxbook?
I was also curious if anyone knew what a proper sharpe ratio is? Mine is currently .29, does anyone know if that is considered good or bad?
Thanks!
That risk of ruin is completely useless
You have to calculate it yourself based on your strategy risk setting
One wrong move and all risk analysis is thrown into garbage.
会员从Nov 13, 2015开始
2帖子
forex_trader_678699
会员从Feb 06, 2019开始
12帖子
Feb 10, 2019 at 07:26
会员从Feb 06, 2019开始
12帖子
togr posted:PeterLoew posted:
Hi everyone,
I am running a bi directional grid trading strategy and my risk of ruin currently shows I have a <.01% of losing 10% of my balance with 35 consecutive losing trades. Is this considered good or bad on myfxbook?
I was also curious if anyone knew what a proper sharpe ratio is? Mine is currently .29, does anyone know if that is considered good or bad?
Thanks!
That risk of ruin is completely useless
You have to calculate it yourself based on your strategy risk setting
I'm sure there's some sense in it, although I don't understand how it works either.
Sharpe ratio...I think anything above 1 is good? The higher the better.
Feb 11, 2019 at 11:02
会员从Feb 22, 2011开始
4862帖子
jameszenblade posted:
Hi if you want to learn this things you can take courses like astroFX,infite-prosperity.com and wallstreetacademy.
i can help you with those because im sharing their lesson to everyone who have struggles on those problems.
Nope. You can best calculate your own system risk.
You just need grammar school math, nothing else.
会员从Jul 20, 2020开始
341帖子
会员从Jul 19, 2020开始
318帖子
会员从Jul 20, 2020开始
298帖子
会员从Mar 17, 2021开始
536帖子
会员从Jul 23, 2020开始
869帖子
会员从Jul 23, 2020开始
759帖子
Nov 20, 2021 at 15:45
会员从Dec 11, 2019开始
14帖子
The optimum option for risk management practice is to open a position with no more than 5% from your total deposit. Moreover, you have to use sl and tp in order to reduce risks during trading. Guess that the best ratio is 1:3. It affords you to earn money and not to lose it actually. Nevertheless, everybody decides by himself which risk percentage to choose. There are some traders who open position with 20-30% from their total deposit and it's very risky.
Anyway, you have to be acquinted with the theory of risk management and money management practices in order to understand their mechanics.
Anyway, you have to be acquinted with the theory of risk management and money management practices in order to understand their mechanics.
*商业用途和垃圾邮件将不被容忍,并可能导致账户终止。
提示:发布图片/YouTube网址会自动嵌入到您的帖子中!
提示:键入@符号,自动完成参与此讨论的用户名。