Kevin’s systematic approach melds rigorous quantitative testing with pragmatic risk management and monthly maintenance protocols. By enforcing single-pass optimizations, extensive real-time validation, and lean portfolio sizes, he constructs a robust trading framework designed for consistency and longevity. Advanced traders can draw from his workshop principles to refine strategy design, navigate common back-testing pitfalls, and build diversified, adaptive portfolios capable of weathering market uncertainties.
Topics:
Strategy Design Principles
Walk Forward Analysis: Best Practices and Common Mistakes
Robustness Testing Beyond Walk Forward
Tech Stack and Automation Tools
Portfolio Construction Process
Monthly Maintenance and Rebalancing
Risk Management and Psychological Preparedness
Performance Benchmarks and Goals
信息
- 节目
- 频率两周一更
- 发布时间2025年4月24日 UTC 01:07
- 长度59 分钟
- 季1
- 单集37
- 分级儿童适宜