I'm also running Forexpro and reborn high return signal both on reduced risk.
And you're right about kharveld. It had a large draw down last week I think and I reduced it to 1.2 risk I think.
Most of my risks are calculated by taking the max DD of the signal so far and adjusting it to 10%. So high risk signals will have reduced risk. Low risk signals will be turned up a little.
I understand about maximum "theoretical" risk and as my account grows I will be gradually reducing the risk on all signals.
Hopefully this gives me a good balance of risk management vs returns
And you're right about kharveld. It had a large draw down last week I think and I reduced it to 1.2 risk I think.
Most of my risks are calculated by taking the max DD of the signal so far and adjusting it to 10%. So high risk signals will have reduced risk. Low risk signals will be turned up a little.
I understand about maximum "theoretical" risk and as my account grows I will be gradually reducing the risk on all signals.
Hopefully this gives me a good balance of risk management vs returns
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