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Does anyone would like to share any idea on how to select the trading
strategies based on expectancy vs money management?
For comparing strategies, I always select the one with highest
expectancy, but when I also need to consider position sizing into the
selection criteria, then I don't know what to do?
Does anyone know on how to balance between expectancy and money
management [the size of position] in order to select the best strategy
for trading?
Thank you for any suggestion
Eric
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