There was such a message:
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Here money management will come to the rescue – about the ratio of average profit to average loss as 3 to 1 at least remember???? Although in my opinion 3 to 1 not enough, better 5-6 to 1. With the ratio 3 to 1 – even if you make a mistake with the share in 60% cases, you will still be in the black. If the ratio 5 to 1 – even 75-80% mistakes will not leave you behind on average.
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I answered it like this:
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If I were you, I would advise 53 to 1 — this is the best option. In this case, according to your logic, even 98-99% `` mistakes will not be left behind on average"
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TraderDen1: FLOOD -WARNING
What's this, the relation is obtained 5 to 1 not flood, and 53 to 1 — flood? Who will say, where is the flood boundary? Maybe 15 to 1, or 22 to 1?
:)