The Ideal System?

My strategy is new to C2 and is currently in the "building a track record" stage so I wanted to know from the community what you would like to see in a system. Generally my strategy is focused on limiting losses and outperforming the benchmark. When you look at a strategy, what qualities do you want? I can adjust risk tolerance for example if most people preferred a strategy with low drawdowns or a very high percentage of winning signals. Also is outperforming the benchmark even when a loss is taken (like what happened in the last week) desirable or would you rather see a more steady but less rewarding equity curve? This could be achieved by not taking as many positions in choppy markets. I realize everyone has different demands and outlooks but it could be helpful to know what the general consensus is.