Hey Sharks,
Thanks for the reply,
Im using 1% risk per trade, so the trade sizes are calculated off that, obviously It can depend how far away price is from where It places the stop. If there are any alternative risk management or positions sizing strategies you use I'd love to hear them.
I really want to be able to combine backtests of different markets so I can look at an overall strategy report. I cant seem to figure out how to do that yet, without manually doing it in excel or something.
I appreciate the feedback
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