Position collector strategy|
Lots of strategys use more than 1 or 2 position. We can have more profit, but it can be sometimes more losses, so we have to manage our risks.
The first risk management can be the space by 2 positions. If we calculate our stoploss to the position's average, we are in 0 loss. Move that idea, if we calculate that average and shift it to the trading side, we are in profit minimum. We should use that money management strategy all charts separately.
That stoploss management can help us by the secend or by the third position.