I have been trading my system on the EUR.USD over the past year.
there are a couple of extra points of info.
only a small number of trades over the past year
targets are usually set between 2R - 3R.
trade mgmt of moving stop to break even when 1R is reached.
R is .5% of total funds (trying to keep risk lower in volatile)
I am thinking of increasing the risk on the system to 1% with the eventual aim of getting it to a max of 2%.
What are everyone's thoughts on the system and adjusting the risk?
Gross Profit 15512.59 Gross Loss -5225.32 Total Net Profit 10287.27
Expected Payoff 734.8052
Absolute Drawdown 0
Total Trades 14 Profitable trades (% won) 11 (79%) Losing Trades (% won) 3 (21%)
Short Positions (% Won) 12 (75%) Long positions (%won) 2 (100%)
Largest Profit trade 3818.39 loss trade 2949
Average Profit trade 1410 loss trade 1741
Maximum Consecutive wins ($) 6 (8609) consecutive losses ($) 1 (1121)