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Risk Management and Position Sizing

A risk-management and position-sizing path: size every trade to a fixed fraction of equity, measure results in R-multiples, judge systems by expectancy (win rate and payoff together), respect the asymmetry of drawdown and recovery, and keep risk of ruin near zero by capping bet size.

  1. Module 1
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    Sizing and the Trade

    Sizing and the Trade within the risk-management and position-sizing path.

  2. Module 2
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    Edge and Survival

    Edge and Survival within the risk-management and position-sizing path.