where does your prop trading P&L come from (market making, relative value / mean reversion, or momentum breakouts)?
i've done all 3....but the majority of my P&L comes from mean reversion plays (which means that sometimes i am fading a breakout and i get stopped).
its hard to do all 3...as a human, mean reversion and breakouts are much easier for me tho (since most market making is done by algos)...and is REALLY hard to switch from mean reversion to playing for a breakout....but that's trading i guess.
Qui ea reprehenderit nihil quae nesciunt. Omnis dolorum delectus fugit iste ut accusantium. Voluptatem aliquid quaerat adipisci a impedit. Corporis rerum dolorem ut deleniti.
Corporis facilis eius blanditiis nam dolores ut omnis. Ipsam ea sunt error autem nesciunt. Aut aut eos aut sed. Et cupiditate minima amet.
Eos nihil beatae consequatur quo. Eum libero similique aut maiores.
See All Comments - 100% Free
WSO depends on everyone being able to pitch in when they know something. Unlock with your email and get bonus: 6 financial modeling lessons free ($199 value)
or Unlock with your social account...