What I care about:
- Long tick-data backtests (2003-present) before anything goes live
- Honest drawdown: every system I run has had deep losing periods, and I publish them
- Position sizing first, entries second
Systems: LIORA (balanced), LAUREL (aggressive), PHILIA (low drawdown).
I also made RiskGuardian, a free lot-size / stop-loss panel for MT4.
Happy to talk about backtesting, drawdown control and EA robustness.
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