Hello Guys.
Every day this software comes better and I´d like to help with one suggestion . Inside Backtest tools there is Portifolio Settings . Id like that "Max % of Capital Risk per Position" can be possible put Indicator formula to improve my risk control . Id like create a formula based on 2% rule but considering my stop target not my amount Capital. Could be possible ?
Another thing were can find more info about "Money management signal" ? Maybe this can help me with question above.
Regards.
Sugestion for Money Management Settings (Backtest) [SOLVED]
- Henry MultiСharts
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Re: Sugestion for Money Management Settings (Backtest)
Hello strelow,
That is possible to do the risk control from your code. You can find more information regarding the Portfolio Trader features here.
That is possible to do the risk control from your code. You can find more information regarding the Portfolio Trader features here.