Methodology

The skorr® Risk Framework

  1. Market Conditions — We classify liquidity and sentiment before any setup is considered.
  2. Trend Qualification — Only structurally valid trends pass. Everything else is noise.
  3. Aggressiveness Control — Position intensity adapts to conditions, not ego.
  4. Entry/Stop Validation — Every setup must justify its risk before it gets a green light.
  5. Trade Oversight — Ongoing monitoring keeps execution aligned with your rules.

No process = no edge.