avatar
· Views 739
The Bowstring Logic | Part 4/4 📖 RISK, REWARD, AND THE "GOLDEN ARROW" STANDARD Trading is a fine balance. Low risks stifle growth, while excessive risks lead to ruin. My goal is an optimal risk level that prevents catastrophic losses while ensuring sustained capital acceleration. 🛡️ THE REALITY OF SAFETY • TRANSPARENCY IS KEY: 100% safety does not exist. Extreme "Black Swan" events can bypass any stop-loss, but in all standard conditions, a disciplined stop-loss is an absolute shield. • EFFECTIVE RISK LEVEL: Long-term success depends on recovery speed. Thanks to a high mathematical expectancy, my system recovers from drawdowns rapidly. Because our hard stop-loss is placed strategically, it triggers very rarely—once or twice every few months across the entire 28-pair portfolio. This stability allows for optimal risk efficiency. 📊 RISK PARAMETERS • TARGET RISK: The maximum total risk for the entire grid is strictly capped between 9% and 12% (slightly varying due to accumulated swaps). • PROFIT TARGET: I target an average return of 5% to 10% per month. Since market movements are non-linear, returns are distributed unevenly across periods. 🏹 THE "GOLDEN ARROW" DYNAMICS The grid's lot weights are shifted toward later orders, creating a distinct growth dynamic: • Frequent Wins: Steady gains from shallow moves smoothly grow the deposit. • Growth Sprints: Mid-range moves accelerate account progress. • The Golden Arrow: 2–3 times a year, the deepest levels of the grid are activated. DEFINITION: A "Golden Arrow" is officially declared when the entire grid closes with a net profit of +10% or more of the total deposit in a single event. This peak performance moment is celebrated as our ultimate trading standard.

إخلاء المسؤولية: الآراء الواردة هنا تعبر فقط عن رأي الكاتب، ولا تمثل الموقف الرسمي لـ Followme. لا تتحمل Followme مسؤولية دقة أو اكتمال أو موثوقية المعلومات المُقدمة، ولا تتحمل مسؤولية أي إجراءات تُتخذ بناءً على المحتوى، ما لم يُنص على ذلك صراحةً كتابيًا.

الرد 0

  • tradingContest