Here are some statistics for the first quarter.
First, there are 3 "strategies" I am evaluating:
A. Baseline Strategy, always trades 1 contract [hypothetical]
B. Add-On Strategy, adds to winning trades at a specific point [hypothetical]
C. Add-On Strategy Hybrid, how I actually added on to winning trades (I changed the approach in Feb/Mar timeframe to eliminate discretion of the 2nd entry) [this method is what is actually being traded]
So, including open trades, here are the Net Profits:
For at least the first 3 months, then, it would have been better to just trade 1 contract, rather than add on to winners.
Here are some other statistics for the Baseline and Add-On strategies. These include open trades
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