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Hi Dave
Thanks for your help. Unfortunately that doesn't seem to be the issue
with these particular charts. I have two charts MRE and MDE. The
portfolio equity values are as follows
MRE
Date 7.7.06
Equity 400990.91
Cash 61034.11 (cash chart plots this value appropriately wrt equity
chart)
MDE
Date 10.7.06 (why this is three days later I am not sure as I thought
they should plot the same end of week dates??)
Equity 400990.91 (good so far)
Cash 400990.91 (and the cash chart plots this as full equity
height green bar)
I'd be grateful for any feedback to help me understand why the dates
would be different and why the values vary so much. I thought perhaps
teh date issue wa steh source of teh issue as perhaps all trades were
exited between 7.7.06 and 10.7.06 (can't understand that date issue)
but when I look at MRE on 14.7.06 in fact the numbers are
MRE
Date 14.7.06
Portfolio Equity 393482.47
Cash 54487.22
MDE
Date 18.7.06
Portfolio Equity 393482.47
Cash 393482.47
So in fact it wasn't that all positions were exited between 7.7.06
and 10.7.06.
Any ideas? I wish I could post a couple of charts to show exactly
what I am seeing but I think the numbers show the issue.
Thanks for any help offered.
Cheers
Shane
--- In amibroker@xxxxxxxxxxxxxxx, "David Smith" <david.smith5@xxx>
wrote:
>
> Mike, I just checked the equity curve charts as you were saying and
I think
> the equity curve is always the same but it changes depending on the
> available dates for each stock code. If there isn't the same
amount of data
> the chart will zoom in hence it looks different.
>
> Dave
>
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