Package:
Money Management 01
You
may have an indicator you like, and a strategy which
trades off of it, but you don't have a complete
trading system until you have a systematic way of
deciding how much size to put on for each new trade.
Money Management is the art and science of adjusting
your risk and reward in relation to your account
size.
What It Is
A
general function for calculating the size of each
new trade according to your selection of method and
tolerance for risk. You can add this
single function call (and it's associated inputs) to
any strategy and acquire the ability to test that
strategy's performance under 7 different Money
Management techniques.
Implemented MM models:
0 = Fixed Size, no MM applied
1 = Fixed Fraction (FF)
2 = Fixed Fraction (FF) with Volatility
3 = Drawdown Model with Volatility
4 = Kelly Model
5 = Kelly Model with Volatility
6 = Ratcheting UnitRiskAmt
7 = Simple Ryan Jones Fixed Ratio Model
What You Get
An .ELD file containing the
full
source code
of the function.
Customer Support as needed to answer any
questions you may have.
What It Costs
$150 gets you this
eye-opening function that will help you to evaluate
any strategy's potential performance over the long
haul.
How You Get It
This package will be emailed
to you after your PayPal payment is processed.
Please be aware of the
caveats
before you order.