Hello, i have got no reply so i am wondering how you manage the trade risk ?
The real risk always depends on current contracts, current equity and stop distance, therefore there is no easy way just as placing any trailing stop. Can't anyone help ? 2007/7/11, Trinolix Derry <[EMAIL PROTECTED]>: > Hello, > > Can someone please tell me how to implement a simple risk management > for futures ? > > Compared to the AmiBroker Rebalance example which is position size > based, i want to use the risk amount to make rebalancing or simple > scale out's. > Basically whenever current trade risk is > 4% of current equity it > should scale out to get the risk below 4%. > > I wasn't able to write the code successfully, see one of my previous posts. > However a risk management is so important and really everyone who > want's to develope a serious trading system need it. So i assume that > anyone found the solution. > Otherwise Tomasz: Can you please provide a example to the KB site ? > > > Risk management is one of the keys to success. > I really appreciate every help ! > > -- > Regards > -- Regards
