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2) I am looking for a Money Management /Portfolio Risk Analysis software
THAT DOES NOT REQUIRE THE INPUT OF A TS INDICATOR "STRATEGY". The goal is to
perform Porfolio Analytics using current statistical methods (ex. Optimal F
position managment) BASED ON MANUALLY ENTERED TRADES instead of Indicator
Strategies.
Does anybody have suggestions in this area?
Look at the ProSizer created by a member of the group... you can input
results from anywhere and get a good idea of proper betsize using five
different methods...
http://unicorn.us.com/trading/prosizer.html
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