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Junior Member
yes since august 5th.
since 10k contract size is the minimum, i started with 4000nzd for testing purposes.
i aim to calibrate each pair for maximum 1% stoploss depending on backtested variance.
if i have a relatively higher variance low profit factor strategy i will be aiming to risk around 0.5% (just an estimate for now, will do some statistics later).
i have enough capital to sustain approx. 500 stoplosses at 10k contracts, but im just testing at minimum levels for another 2 months before i start proper money management
Last edited by iansane; 10-10-2011 at 03:38 PM.
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