Are you ready to explore the untapped potential of Emini S&P 500 breakout strategies?
In this episode I share a few of my best S&P 500 breakout strategies, to demonstrate the importance of early market moves, asymmetrical breakout levels, short-only strategies, risk management techniques, and more.
Here's a sneak peek of the topics discussed in this episode:
Setting realistic expectations in trading strategies
A specific breakout model for the S&P 500 market
A day trading strategy on a 30-minute timeframe, including entry time and use of asymmetrical breakout levels and simple filters
Out-of-sample performance and risk management in the strategy
A swing strategy with a good sample size and different fractions of long and short trades
A strategy with a fixed profit target based on a 2 to 1 reward-risk ratio
A short-only strategy with a high average rate of return per trade
Using dollar-based stop losses in breakout trading strategies
Podden och tillhörande omslagsbild på den här sidan tillhör
Andrew Swanscott and Tomas Nesnidal. Innehållet i podden är skapat av Andrew Swanscott and Tomas Nesnidal och inte av,
eller tillsammans med, Poddtoppen.