Suppose you have 2 trading strategies which give you a positive edge today to make money. One day eventually, they will lose their edge but you don't know when.
Strategy 1
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Slightly above 50% win-rate. When you win, you win 1R. When you lose, you lose 1R, unless some accident happens or the security makes a huge unexpected gap.
Strategy 2
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Win-rate is way below 50%. You lose most of the time. However, when you win, you win 2R. When you lose, you lose 1R.
Which strategy would you prefer, assuming that that the returns in dollar terms is about the same?
I would like to ask the experienced traders here with practical experience. Which strategy would you prefer and why?
Strategy 1
----------
Slightly above 50% win-rate. When you win, you win 1R. When you lose, you lose 1R, unless some accident happens or the security makes a huge unexpected gap.
Strategy 2
----------
Win-rate is way below 50%. You lose most of the time. However, when you win, you win 2R. When you lose, you lose 1R.
Which strategy would you prefer, assuming that that the returns in dollar terms is about the same?
I would like to ask the experienced traders here with practical experience. Which strategy would you prefer and why?