just wondering how a max trade dd of 7% could happen if the stop is 4%. - is that high to low, isassume. also, the max system drawdown of over 25%- how is that possible; what happened there?
couold we look at the revised trade history.
one other thing-
is there a way to check this protocol modification:
-bull signal short above 75 (not 70) if nasi > 0.
-bear signal rsi(5) long at 28 if nasi rising or nasi >0. otherwise long with rsi going< 28 followed by +closing day or rsicross over 30.
the theory being to get long under better circumstances, or getting the heck out of the way under difficult circumstances.
-with a 3/4% stops
thx for improvingmy understanding =of these markets!