Just finished backtesting my latest indicator on $NVDA. Despite a win rate under 50% (46.88%), the strategy is showing a 2.30 Profit Factor and a 27% Total P&L.
The secret? Let the winners run and cut the losers fast. My average win is nearly 3x the size of my average loss.
Would you have the discipline to stick with a strategy that loses more often than it wins if the math checked out? Let’s talk risk management below. 👇



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