$1 million or $35 million over 20+ years? Too good to be true?
I developed my own EA and had it built for me. This is a daily chart tested over 2 decades of data with multiple pairs.
I thought I did a 4% risk on each trade, but when I run it in money management with “Risk fixed balance:4.0%” with maximum lots 99, Lots if no MM 1, and Risk 4%.
So, why is the original $1.1 million, but the equity chart is $35 million?
What can I attach to help you help me?
hi, you can also send more details, files or screenshots to our email email@example.com so I can look at it
My portfolio goes into the millions on Quant money management as well but I don’t trust it. The method is too crude.
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