A question for connoisseurs

The question on optimizing my model is addressed to experts or mathematicians or systems analysts, See who thinks he is.
If my main model is roughly from 150 days showed 12 negative and 138 positive results, i.e. the percentage of profitable arbitrage( basket) deals 138/150 = 92%, how can i load the account as much as possible?
All ideas are accepted.

  Maybe this is a sign?
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