Overview
This post talks in detail about the technical aspects of our exit strategy
Exit scenarios
- 5% capital gain or price reaches 30 day moving average
- -2.5% capital loss
- position held more than 2 week
Related references
- [Loss aversion reversion to mean trading strategy](https://garyteh.com/2018/04/trading-strategy-capitalizing-on-loss-aversion/)
- [Technical entry point for loss aversion reversion to mean](https://garyteh.com/2019/03/hypothesis-on-timing-entry-position-into-loss-aversion/)
- [US/China 4th June 2019 macro trend reversal](https://garyteh.com/2019/06/june-4th-2019-us-china-trade-war-loss-aversion-reversion-to-mean-pattern/)
- [Large dips signal for macro downtrend](https://garyteh.com/2019/06/macro-economics-negative-spiral-leading-indicator/)

