Your opinion on what should be optimized first?

 

Just curious  what everyone elses opinion is 

Take profit and stop loss?

indicators?

 
You may like to fix $$ Profit on each trade.. Find stoploss and TakeProfit by % of weekly movement. For example weekly avg moment can change depend on volatility and each pair.
So %15 of week movement can be 50pip for GU While 25pip for UJ.. But at the end $ Profit per trade will be same for UJ and GU.. You may like to optimize your data and find rules that been profitable with 1:20 , 1:10 RR Rules.
 

Very Helpful!   


Thank you!