Better System Trader

189: Managing multiple trading strategies – David Bean

May 26, 2021
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Episode notes
1
Introduction
00:00 • 2min
2
Capstone Trading Systems - How Did You Get Started in the Late 90s?
01:50 • 2min
3
Strategies That Beat the Market
03:24 • 2min
4
How to Manage Multiple Trading Strategies?
05:21 • 2min
5
How Do You Qualify a Drawdown?
06:55 • 4min
6
Strategies That Are in Drawdowns?
10:36 • 4min
7
Soybean Strategy
14:24 • 2min
8
Using Past Performance to Look for Patterns and Cycles
16:19 • 3min
9
Managing the Portfolio in a Bull Market
19:11 • 2min
10
Are You Looking for Uncorrelated Strategies to Add to Your Portfolio?
21:00 • 3min
11
How Much Time Do You Need to Test Ideas?
23:39 • 2min
12
Is There a Difference Between a Sim Account and a Trading Sim Account?
25:24 • 2min
13
Do You Have Any Errors When You Start Trading Your Strategy?
27:17 • 2min
14
Is There a Forum for Trading Ideas?
29:19 • 2min
15
Using Ugly Equity Curves in a Multi-Strategy Environment
31:11 • 5min
16
Optimizing a Strategy in a Set?
36:19 • 2min
17
Allocation to Strategies
38:07 • 3min
18
The Return Skew of New Strategies
41:22 • 2min
19
How Long Do You Test Your Strategy?
43:18 • 2min
20
How Do You Account for That in Your Back Test Results?
45:15 • 2min
21
Portfolio Maestro on Ninja Trading Platform?
47:35 • 3min
22
How to Trade Multiple Strategies on the Same Symbol?
50:22 • 2min
23
Do You Use Genetic Algorithm Software to Find Strategies?
52:21 • 3min
24
Is Your Ideal Robust Strategy Doing Well?
55:05 • 4min
25
How Many Times Do Your Strategies Trade Per Week?
58:54 • 3min
26
Do You Use Trade Station Automation for Strategy Orders?
01:01:27 • 2min
27
The Better System Trader Podcast, Episode 161
01:03:48 • 2min