Not talking about a always in, stop and reverse strategy.
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Long & short combined in 1 strategy
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What I mean is having both a short and long strategy coded in 1 strategy. the long parameters would have you exited before the short parameters entered a short position and vice versa. I have ran a strategy like this in backtesting but dont know what the drawbacks would be running it live.
Which is better- 1 strategy with long and short parameters or 2 seperate strategies?
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Originally posted by Pete S View PostThe strategies that I run live can be either long or short. If your strategies are related (i.e. you're checking the same indicator or same basic conditions), you'll definitely want them in the same strategy. Easier optimization, maintenance, etc.
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