Why Does Slippage Increase When Market Volatility Is Extremely High?
Learn why slippage increases during extreme volatility and how fast price moves, changing liquidity, wider spreads, order size and execution…
How Many Trades Are Needed Before You Can Judge a Trading Strategy?
How many trades are enough to judge a trading strategy? Learn how sample size, win rate, expectancy, market regimes, drawdown and…
Why Can a High Win Rate Strategy Still Lose Money?
A high win rate does not guarantee profitability. Learn how average wins, average losses, expectancy, risk-to-reward, drawdown and trading…
How Can Traders Tell Whether a Strategy Is Overfitted to Historical Data?
Learn how to detect trading strategy overfitting using out-of-sample testing, walk-forward analysis, parameter stability, market-regime…
Why Do Trading Strategies Stop Working During Different Market Conditions?
A trading strategy can work extremely well in one market environment and struggle badly in another. This does not automatically mean the…
How Does Liquidity Affect the Price of a Forex Pair?
Related Trading Guides How Does Decision Fatigue Affect Trading Performance? Why Does Forex Price Consolidation Often Happen Before a Major…
Why Does Forex Volatility Suddenly Disappear During Certain Hours?
Related Trading Guides Why Does Slippage Increase When Market Volatility Is Extremely High? Why Do Trading Strategies Stop Working During…
Why Can Forex Prices Move in Opposite Directions Within Seconds?
Why can forex prices reverse within seconds? Learn how liquidity, order flow, stop-losses, spreads, algorithms, technical levels and…
Why Does a Forex Pair Move Even When There Is No Major News?
Learn why forex pairs can move without major news. Explore order flow, liquidity, trading sessions, technical levels, stop-losses, algorithms,…
Why Gold Can Drop After a Rate Cut Announcement
Gold can fall after a Fed rate cut even when lower rates are normally considered bullish. Learn how expectations, DXY, real yields, guidance…










