Thanks for your feedback what sort of statistics would you deem as been decent ? Obviously i wish to improve.
What would you focus on ? Less than 10% drawdown ? Personally as its trend following strategy if i risk 2%-3% per trade 5 loser's = 15% or so.
I understand if it was reversion to be 1% of risk but higher volatility in an instrument somewhat dictates greater stop size. I attached a raw image of the metrics with the account number blanked out:
Personally i believe if i was to trade more with reversion to the mean it would somewhat smooth out the equity curve. As when trading trend following you take the signals until you get a fat tail.