When we take decision about the risk reward? after we developed a trading strategy we will change or add possible risk all based on the trading style.
My risk was high so my account wiped out but 3 days my risk was not high but 4th day risk changed to high cause market volume changed.
Now i have to think about [B]what risk should i use in all type of market volume[/B] or [B]i should trade what volume was in my first 3 days trading time, when i doubled.[/B] so i have two options.
disadvantage in first one is limit my trading time in low volume time or range bounding time also not possible to add EA in VPS cause limited time in trading when market dead ( 4h )
disadvantage in low risk is ROI reduce to 10% from 100%
so the conclusion is 100% return we can not do every day 10% is possible everyday so the chances in average is not double daily but its “possible” around 25%.
“I think there is no decent trading methods but hack.”