Portfolio Settings: Difference between revisions
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# In the '''Required Capital Assumptions in Margin Trading''' section, choose to use either '''Margin per Contract''' settings or '''Potential Loss per Contract''' settings.<br> | # In the '''Required Capital Assumptions in Margin Trading''' section, choose to use either '''Margin per Contract''' settings or '''Potential Loss per Contract''' settings.<br> | ||
#: <br><div style="background-color: #E3FBE5;">Note: Do not use both.</div> | #: <br><div style="background-color: #E3FBE5;">Note: Do not use both.</div> | ||
# In the '''Financial Settings''' section, set appropriate properties which will be used in portfolio performance calculation. | |||
#: '''No. of standard deviations''' - the number of standard deviations is used in some report indices calculation. The default is 1. | |||
#: '''Minimal acceptable rate of return''' - reference point for Sortino Ratio (See "Performance Ratios" section in Portfolio Performance Report). | |||
#: '''Degree of risk aversion of the investor''' - reference point for Fouse Ratio (See "Performance Ratios" section in Portfolio Performance Report). | |||
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