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Ok, ok.
I'm asking this more in the sense of diversifying in order to reduce risk. I have seen that some people use many pairs with the same strategy, only modifying the parameters, while others use different strategies with negative correlation on the same pair. However, I haven't tested that approach very much.
Thanks for clarifying.
In the U.S., I can't even trade EURUSD and GBPUSD simultaneously because they both share USD.
Based on what you describe, it reminds me of old timey "basket trading" threads.
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Was this topic deleted?
I can't see it anymore in the forum.