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5) Exit Rules Let's also systematize his exit rules: 1) Selling 1/3 or 1/5 of the position within 3-5 days after entry 2) Move the stop to breakeven 3) The remaining position has a trailing stop loss using the 10/20 moving average. 4) Exit if price closes below the trail.

188,401 просмотров • 2 лет назад •via X (Twitter)

Комментарии: 15

Фото профиля pedma
pedma2 лет назад

This is Kristjan Qullamaggie. He's a swing trader, who turned $9,100 into over $80,000,000 from 2013 to 2021. In 2021, he was featured as the 15th highest income earner in Sweden. Here’s Kristjan's story:

Фото профиля pedma
pedma2 лет назад

1) Returns There's many stories online, of traders with large returns. But in most cases, it's hard to find validation for those stories. I found this article, where Kristjan was listed as the 15th top earner in 2021, in Sweden. Link in sources at the end of the thread.

Фото профиля pedma
pedma2 лет назад

2) Who is Kristjan Qullamaggie Kristjan is a self-funded trader from Sweden. He's mostly known for making 10's of millions of dollars as a swing trader. He started as a day trader back in 2011, at the age of 23 years old.

Фото профиля pedma
pedma2 лет назад

He mentions that he blew his account 3 or 4 times, for 2 years, before becoming profitable. Despite his early failures, as most aspiring traders experience, he continued to improve. Gradually he went from a losing trader, to breakeven, and 2013 was his first profitable year.

Фото профиля pedma
pedma2 лет назад

3) Position Size & Risk Kristjan says that one shouldn't hold more than 30% of account size in a single position overnight. And the risk per position should be 0.25%-1.5% On a $10,000 account, a single position shouldn't exceed $30,000, and the risk per trade would be $150.

Фото профиля pedma
pedma2 лет назад

4) The Breakout Trade Let's systematize his strategy: 1) Initial driver move of >30% in the last 12 weeks 2) Sideways consolidation of 2-8 weeks 3) Consolidation average > 10/20/50 SMA 4) Enter trade on the breakout 5) Stop loss at low of breakout day 6) Stop loss < 1*ATR

Фото профиля pedma
pedma2 лет назад

I've also made an article with the strategy and full code in python. Despite some of the rules being pretty discretionary, we can still make them systematic. The results were interesting. Here's the tweet about it:

Фото профиля pedma
pedma2 лет назад

6) Trade Examples Here we have an example of a trade, that fit the parameters of Kristjan's strategy. It can be summarized to taking positions on breakouts, of strong uptrends. During a great market regime, this strategy will shine.

Фото профиля pedma
pedma2 лет назад

7) Philosophy Kristjan sees trading as a numbers game. The strategy itself is not ground-breaking. Breakout trading has been documented for decades. His focus is in being in the largest trends, taking a lot of bets and keeping the losses small.

Фото профиля pedma
pedma2 лет назад

8) Conclusion Kristjan's story is quite interesting. Even though I couldn't find what his returns are after 2021, his principles are solid. Managing exposure, risk, and being exposed to trends, is the core idea behind his message. Hope you've enjoyed it.

Фото профиля pedma
pedma2 лет назад

Sources: 1) 2) 3) 4)

Фото профиля eBaykc
eBaykc2 лет назад

@cardosofede interesting exit strategy

Фото профиля Nims ama
Nims ama2 лет назад

@Atulsingh_asan

Фото профиля justin.mecklenburg
justin.mecklenburg2 лет назад

Video suggests to sell 1/3 to 1/2 of a stock after 3-5 days (not 1/5).

Фото профиля Pierre Andrews
Pierre Andrews2 лет назад

This is really bad advice. All professional institutional traders do exactly the opposite. They take more risk, if they're right, wich makes sense, because: why would you limit your returns, if you're on the right side of a trade?

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