I'd appreciate if everyone can help me emphasise what a method compromises of. Separated into three segments as well; money management, method, and risk, which I suppose can go hand in hand but lets keep them seperate for now.
Strategy
General method
entrance
exit
stoploss
lots
currencies
timeframe(s)
General rules
Money Management
Maximum% risk per trade
Diversifiion
Hedging?
Risk
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Please Don't Hesitate to add on.
Any input is greatly appreciated, thanks.