| The portfolio results graph screen,
showing from top to bottom: the
equity graph of the
simulated portfolio (see port control
panel) and the simulated
buy-and-hold comparison graph. Next, the combined performance
window, with the cumulative
performance of actual trades graph, and the
cumulative
performance of null trades
graph. Next, the performance delta window, with the
difference in performance
between actual and null
trades graph, and its
50-day moving average graph. And finally the bottom window
with the percent of
simulated portfolio capital invested bar graph. |