I wanted to talk a little about unconventional risk management strategies, particularly those that are hyper-aggressive. We've all seen people post examples of what one could accomplish if they could risk double their money on every trade, and turn $200 into $6,000,000 if they win 15 trades in a row... The problem is we all now how difficult it is to win even 8 trades in a row, much less 15. So what I've been considering is a "step system". In this model, you go through a series of steps at 4 trades per step. If you make it past the first step, you can lose a trade without going bust as you would in a typical "doubling" strategy. The drawback is that you have to win the first four trades or you start over with another deposit. Here is the model I came up with. Thoughts?