This is very interesting, but it's still confusing to me how to calculate the Minimum Trade Value as a percentage of Portfolio Control.
When calculating SAFE, instead of using 10% of the stock value I should use 10% of Portfolio Control? Should SAFE from now always be a percentage of PC in all other calculations when investing?
It would be very helpful to understand it if you could do a math example of all the calculations involved to get a market order. Starting from today's price and Portfolio Control.