The emphasis should generally be on trading with fundamental and chart technical trends, incl. rebound trading and swing trading. The decisive factor for the selection should be the respective prevailing market phase. Combined with a good CRV (chance/risk ratio), the advantages should in fact be taken advantage of. The most stable capital curve should be sought. The focus should be on German and foreign stocks here. Depending on the trading approach and CRV, it may be day trades or swing trades, holding period of minutes/hours – weeks/months. Losses should be consistently limited, about 1% portfolio value per trade is sought. On principle, the drawdown from the brokerage account should not exceed about 5%. Limit risks, win in the long term! The objective is a stable return in the course of all market phases. One should mainly go long. In order to hedge, one can go short and use ETFs in this case. The 10-year experience as a trader should help in achieving a good performance.
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