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Request for comments and opinions:
There is one aspect of money management (determining # of contracts to
trade) that seems to be rarely, if ever, discussed. Let's say that you
have a system that you wish to employ on a diversified group of market
(10-15+). You've done your testing, and naturally you find that the system
works significantly better on some markets than others.
Do you adjust your money management formula to trade "good" markets more
heavily that the "mediocre" ones?
Peter W. Aan, CTA
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