I have a strategy that Enters with 3positions:
I will have StopLoss (and Profits) initially at (x)*ATR, but then my Stops will trail at low/high of (x) bars till after 1st Target, then move to Breakeven till 2nd Target, then trail by Low/High Bars again till 3rd is stopped out.
Q: Is it better to Enter 1 position and set stops and profits to 1/3 the amount or is it better to do 3 Unique Entries and link Stops/Profits to those.
Also is it better to use SetStopLoss() and SetProfitTarget() or would ExitLong/Short() be more flexible
Got most of the rest of what I need already from the Forum. Great work!!!
Thanks
Just realized this is in the wrong category.Sorry. Dont know how to move it
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