How does everyone calculate these?
I use a mix of 5% drop from the high since I bought, and a volatility-linked stop loss from the high.
How does everyone calculate these?
I use a mix of 5% drop from the high since I bought, and a volatility-linked stop loss from the high.
A common rule is to risk only 1-2% of your account per trade, then place my stop loss at a technical level where my trade idea is invalid , below support for longs, above resistance for shorts.