I have 2 core strategies, they each work in their own environment, but they probably can be combined and adapted to others.
I think I found a sweet spot reward to risk 1.5
I was on average at 1.25 before, but I see most winners not going that far, and I can increase profitability I believe with a RR of 1.5
Much more than 1.5 is too much thought and it gets really tight, or I'll miss all the time.
1.5 is just perfect I think.
More like 1.4 on average/small moves with spreads.
I only need 42% winrate to be profitable, easy.
Next step is I keep analysing my trades, and log them in an excel and screenshot them for the next year, and then I'll use that to potentially slightly tweak my strats.
Probably won't move much from where they are now.
I probably will instead look for new markets or new strats.