At the moment I am suffering a bigger DD period. It is quite stressful not only for me but also to all who subscribed (especially recently) to this signal. This is 4th time this year then DD > 10% and my absolute maximum is 20%. My deposit load is not historically extreme, but I am planing to reduce the expose before the weekend (except DAX). I was able to recover during last 3 times in a fairly quick manner, I will be able to recover this time also, its just a question of time, which if exceeded 20% DD may take longer than usual. If my analysis is correct we very close to a turning point for good.