Equity Draw Down Strategies

I’m looking for ideas and strategies to minimize the Max Equity Drawdown and I’m also curious what your opinion is for an acceptable % draw down on any given bot?

I’m always aiming for an under 13% max drawdown, but what do you aim for?

I’ve found that using several stop losses has worked well instead of just one. Using ATR and MACD has also worked as good ways to trigger sells at decent percentages.

What have you found to work well?

Whit drawdown do you refer to max equity drawdown or deviation from the initial price?

I’m referring to Max Equity Drawdown