my struggle with short term is how do you calculate the risk of time in the market?
Thats the killer for me. Doesnt matter how good the FA and hype around it. The longer i held the riskier it got.
Maybe it was just me with crap picks? But i did get a few bags in the last year. Only regret is i should have put on more size.
It would be nice to have a formula that would calculate the risk ratio of a trade but factor in time in market. So the longer you held the risk reward ratio shrunk.
Ive never seen anything yet like that.
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