| Money Management Risk and money management related topics. |
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![]() | Position Management Strategies Still, you visit any trading related forum, you get least information/discussion regarding this topic. This forum is already helping me out in understanding market dynamics. I think, its not a bad idea to learn about position management from experienced traders out here. Please educate me with regard to position management. | ||
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![]() | Re: Position Management Strategies | ||
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![]() Join Date: Oct 2006 Location: Stockton Springs, Maine Posts: 1,440 Thanks: 0
Thanked 53 Times in 19 Posts
| Re: Position Management Strategies That was about 6 months ago. Then, one of the board members (actually a few) taught me about the wonderful thing that is trading with multi-contracts. Money Management starts to become amazingly wonderful, and if I had done this from the get go...then I'd have saved a LOT of cash on losing positions. This is how I do it right now. After 5 YM points, I cut one car off and move my stop to breakeven - 5. Now I'm in a scratch trade at the worst. Then, my other I will take off at +10 if the market conditions warrant that, or I will take it off at +15. Many of my ultimate 10 point losses in the past would have been avoided had I used this strategy. | ||
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![]() | Re: Position Management Strategies I have found that having set profit levels out there is great when they are hit, but you really can 2nd guess yourself when they are almost hit. For example, I remember a trade that was last week or the week before on the YM. My profit target was at +20 based on the strategy being used at that time. It was a short and looked great! The move went exactly 19 points and not one more. My order was just sitting there - an MIT order actually. It just had to move one more point and I was out with a nice trade. Well, that one more point never happened... Talk about kicking yourself in the ass over that... | ||
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![]() | Re: Position Management Strategies Quote:
I have read nearly all the posts those you had posted. Based on that what I feel is that you have an exit strategy that is perfect for you. The idea behind this thread is not to find the best position management strategy, but to know the different position management strategies that traders are applying (preferably with the type of trading style). based on the style of trading and personal comfort, a person can - Exit all of the positions at once. - Exit partly and then with trail stop. - Go on adding up position by keeping risk the same. Again the entire thing depends on the person and his comfort level. In my case, I do not fear of holding the position overnight. Because I am risking the money which I am comfortable to loose (which does not affect me financially and psychologically). Based on this statement, initially I used to trade single contract. Then I started trading multiple contracts. Brownsfan019, Read your example of +20 target. Based on my psychology: e.g. I am long at certain contract. My feeling is, after +19 if market is telling (giving a clearcut signal) that it will no may not go on in my favour, then I will liquidate half the position and move the stop to breakeven. If any signs/patterns do not suggest the downmove, but still not moving in the direction of my favour, I will move the stop to breakeven. What I want to see is the balance of fear and greed. sds. | ||
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| | #6 | ||
![]() | Re: Position Management Strategies Quote:
If the position moves against you, do you exit out of it at once? Cut the loses down and let the winners run. This is okay. But have you or anybody tried applying staggerred stop losses? sds. | ||
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| | #7 | ||
![]() Join Date: Oct 2006 Location: Stockton Springs, Maine Posts: 1,440 Thanks: 0
Thanked 53 Times in 19 Posts
| Re: Position Management Strategies Quote:
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