If you had to pick, which type of trading strategy would you prefer to trade for you?
Option A: You make 5% a month consistently 11 out of 12 months of the year. But every year there's one day where you lose -90%.
Option B: 6/12 months are negative, but maxDD rarely exceeds 30%. Sometimes losing streaks lasts weeks or months on end, but 1 or 2 big wins make up for it.