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So are you describing a mthod with a profit factor of 5/1.8=2.8?
This may not be correct, can you confirm the profit factor
Can you please also share the av win and av loss and winning percentage
thanks
Why you all so obsessed with measurements? One need shape ratio another profit factor, av win, max. win, MAE, MFE. I can continue FBI, CIA, DEA...
Look profit is money I put in my pocket. Draw down is money taken out of my pocket. Please explain where do I put/take all whose measurements? Why they are so crucial? I'm not talking about an extreme condition strategy, with 1000 losses and 1 win and I'm not comparing this strategy to any other strategy. So can someone reply to my original question?
No one can guarantee you anything. There is only one thing that is certain, but I prefer not to say it here (some folks may be offended). Only if you insist.
The question that now stands and no one answer it yet is about trading 20 instruments. Search it.
Your metafore was quite clear sorry you didn't get mine, before searching for instruments I think it is time you define robust "One more thing - this is very robust strategy. I don't want to explain yet what it means"