Ross Cameron Strategy

Ross Cameron Strategy

## Stock Selection
1) Price 2-20
2) Relative Vol. 5x
3) Price 10% up
4) News
5) Float < 20m

## Entry
1) Dipped
2) Buy Volume > Sell Volume
3) Pos. MACD
4) Expected Profit > 2* Risk

Trigger: New High
Stop Loss: Last Low
Profit Target: Resistance

Pos Size: Risk < Bankroll / 200 -> 5 Risk

## Exit
1) Price does not move
2) Volume shrinks
3) Big Seller

## Daily Stop
1) Max Loss (10€)
2) Before Goal: 20% from high (10€)
3) After Goal: Profit goes back 50%
4) Angry Emotion

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