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Long Term S&P 500 Trading With Leverage
Участник с Jan 21, 2017
14 комментариев
Mar 15, 2017 at 07:34
Участник с Jan 21, 2017
14 комментариев
Any thoughts or feedback on a long term strategy that only opens 'buy' s&p 500 orders and tries to keep a fixed amount of lots per equity open at any given moment?
For example:
equity: $1000, open lots: 10
(price goes up)
equity $1100, open lots: 11
(price goes down)
equity $1000, open lots: 10
(price goes down)
equity $900, open lots: 9
etc...
For example:
equity: $1000, open lots: 10
(price goes up)
equity $1100, open lots: 11
(price goes down)
equity $1000, open lots: 10
(price goes down)
equity $900, open lots: 9
etc...
YOLO
Участник с Feb 12, 2016
427 комментариев
Mar 16, 2017 at 15:45
Участник с Feb 12, 2016
427 комментариев
Have you tried it? When will be a good time to stop – what should be the END profit and loss levels? Just very curious…
Accept the loss as experience
Участник с Feb 13, 2013
48 комментариев
Mar 16, 2017 at 19:21
Участник с Feb 13, 2013
48 комментариев
Buy positions should pay dividends from earnings. That's a good strategy to play but not now when S&P are breaking new highs. On top of that there are fundamental surprises and uncertainties like Trump and Brexit. And please do a favour to yourself, don't grid with leverage.
What goes up, must go down
Участник с Jan 21, 2017
14 комментариев
Mar 17, 2017 at 08:11
Участник с Jan 21, 2017
14 комментариев
@TiffanyK Did not backtest it yet, but simulated it on some arbitrary price movements. I'd stop whenever the money is needed (likely in years, it's a long term strategy).
@argreen Thanks for the advice about when to enter the market. I don't quite see how this is a grid strategy, though. I'm not trying to be agnostic to the price movement direction. This strategy will lose money if s&p goes down.
@argreen Thanks for the advice about when to enter the market. I don't quite see how this is a grid strategy, though. I'm not trying to be agnostic to the price movement direction. This strategy will lose money if s&p goes down.
YOLO
Участник с Feb 12, 2016
522 комментариев
Mar 21, 2017 at 12:42
Участник с Feb 12, 2016
522 комментариев
Hello,
It seems on very first look that you do not have any entry set up, neither target and your idea just considering the long side. As per my opinion, looks as a guessing for direction with some element of position sizing.
Just a question - most likely the idea behind is to make money either from dividends and from financing (rollover). something similar could be done with some FX pairs as USD/TRY or EUR/TRY from the short side - just as an idea :).
It seems on very first look that you do not have any entry set up, neither target and your idea just considering the long side. As per my opinion, looks as a guessing for direction with some element of position sizing.
Just a question - most likely the idea behind is to make money either from dividends and from financing (rollover). something similar could be done with some FX pairs as USD/TRY or EUR/TRY from the short side - just as an idea :).
*Коммерческое использование и спам не допускаются и могут привести к аннулированию аккаунта.
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