hi Krunal
there are some small changes
I start 2 trades per month, still 3 months duration, one after 3rd friday, one 14 days later
Schwalbe signal still valid, setup slightly simplified, levels slightly changed
numbers of adjustments are reduced, no change of the initial planned capital, which is now much less. Adjustments were made, when risk was higher. This doesn´t happen any more
one additional indicator was added, if a trade will be opened or not or adjustments have to be done.
Reason for the changes:
1.) it´s not "all in" now but risk is spread over 6 different expirations, so chances are much higher that not every trade has a knockout or some trades already have a significant risk reduction, because only some days til expiration are left
2.) difference between positive trades are minimized, when an adjustment was done or not.
3.) permanent risk reduction to the end of the trade by fix rules
4.) now you can harvest 2 times a month and don´t have to wait 3 months
5.) trades will be closed earlier, when more than 90 to 95 % of profit can be realized, so most of the time there are only 4 to 5 trade running at the same time