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Synopsis: This book is a detailed guide to help improve trading performance using simple money management strategies.
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Jacket Description: Drawing on years of experience, Stendahl highlights the key elements for reducing risk and maximizing profits through portfolio management techniques. More than Just a guide to what size your next position should be, this booklet features ...
- 3 simple evaluation methods to ensure consistent system performance
- Using your portfolio to remove fear and greed from your system
- Techniques to analyze risk/reward calculations - and improve your system
- Combining systems to meet your trading objectives
- Tips for matching your system to your level of capitalization
- And many more methods for analyzing and improving your trading performance.
Plus, examples, tables, charts, and a full resource guide to help you understand all the profit-packed concepts presented.
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Table of Contents:
Preface Xi
Introduction XV
Chapter One System Design 1
Trending vs. Non-Trending Markets 8 Crossover Methodology 11 Greed and Fear Description 12 System Development Process 12 Trading System Code 13 Chapter One Summary 14 Chapter Two Robustness Analysis 16 Robustness Analysis 16 Optimization Pros and Cons 17 Cluster Analysis 18 Chapter Two Summary 19 Chapter Three: System Evaluation 20 Evaluation Process 21 Maximum Adverse Excursion 21 System Analysis Section 24 Total Trade Analysis 26 Drawdown Analysis 26 Run-up Analysis 26 Efficiency Analysis 27 Trading Summary 27 Winning (Losing) Trade Analysis 29 Equity Curve Analysis 29 Chapter Three Summary 29 Chapter Four- Money, Risk & Equity Management 30 Money Management Overview 30 Risk & Equity Management Overview 30 Money Management Warning 31 Long Deutsche Mark Trading System 31 Drawdown Support 31 Winning Series 33 Fixed Fraction 35 Short Deutsche Mark Trading System 37 Maximum Favorable Excursion 38 Drawdown Support (Short Side) 39 Optimal f 40 Secure f 42 Fixed Fraction (Short Side) 45 Chapter Four Summary 46 Chapter Five- Portfolio Analysis 47 Long and Short Deutsche Mark Portfolio 47 Portfolio with Applied Money Management 48 Chapter Five Summary 48
Conclusion- Stage Review 49
Appendix A 51 Trading Stability 51 Consecutive Trades 52 Trading Summary 54
About the Author 81
Workshop Overview 57
Trading Resources 59
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