Strategy tester. - page 10

 
Not like this. We have 1,000 and no open positions. We open with 0.1 lot, let's say at 1.2000 on the EUR to sell. The current price is 1.2500 => the current profit is minus 500.
At the moment we have:
Balance = 1000, Equity=500(1000-500), Margin=125 (100*1.25) , Free Margin=375(Equity500-Margin125).
Margin Leverage=Equity500/Margin125=400% (4.0). We have:
Balance=500, Equity=500, Margin=0, Free Margin=500. I did not count swaps on purpose.
Question: How do I get a negative Balance?
 
OK
1. eQuality is Balance ;) What are you really!?
2. Balance static is only relevant if there are no poses, there is a pose your balance comes to life in the form of an Equity.
3. open in one direction by one pair more than once (we have more than one position at the same time)! if the sum of profitable long (not in the sense of long;) will always cover the losing shorts (not in the sense of short) shorts will eat up the static balance to and below 0 but the dynamic Balance / Acuity will be positive, cut positions and dynamic = static.
4. On the opening in two directions similarly if "that way" you open and hold, and the counter will chew static Balance.
5. And if the pair is not one, then lead static balance in any minus, as long as it would be covered by initiative.
With the margin you think yourself ;)

All the best,
Micky Mogol.
 
A balance is a balance. Let's change conditions:
Sold Eura 0.5 lots at 1.2000 and bought Eura 0.1 lots at 1.2000.
At 1.2100 we have: Balance=1000 Equity=1000-500(Short)+100(Long)=600. Fix the short.
We have : Balance=500 (1000-500) Equity=600, Free Margin=600-121=489.
Sell another 0.4 lots (4*121=484, free margin allows), the price went to 1.2200.
We have: Баланс=500,Эквити=500-400(шорт)+200(лонг)=300. Маржа=0.5лота*1220=610. No free margin (300-610=-310<0), MarginLevel=300/610=49%. Waiting.
Eur at 1.2300
Баланс=500, Эквити=500-800(шорт)+300(лонг)=0. Margin=0.5lots*1230=615, no free margin.
Margin Leverage=0/615=0. MarginCol and Stopout are long. So is negative Balance possible or not?
I am very interested in the word "real". Is it really possible? Or I do not understand something?
 
OK, how about this (purely abstractly). The balance is 1,000. Opened a long. Profit on it is 5000. Opened a short. The market grew. We have 7000 in the long and 2000 in the short. We close the short. What will happen to our balance? -1000?
 
Ask avm for a report on the graphics and you'll see.

All the best,
Micky Mogol.
 
Ask avm for the graph report and you will understand. <br / translate="no">
All the best,
Micky Mogol.


Avm, go ahead and report.
 
You're welcome. But only this expert had already been changed. I almost worked too hard to get it to work like before. Something has worked out. Certainly not the same as before, but the principle is there =) See here http://strategytester.narod.ru Starting from operation 73 the baoans are negative.
 
In the thread where I asked about the test schedule there is an explanation...

All the best,
Micky Mogol.
 
Oooh, and a suggestion was made to the developers to add more Margin and FreeMargin columns and/or an Equity column to the report, who's in favour?

All the best,
Micky Mogol.
 
Woohoo, and a suggestion to the developers to add more Margin and FreeMargin columns and/or an Equity column to the report, who's in favour? <br / translate="no">
All the best,
Micky Mogol.

Agreed. At the very least the Equity column is definitely missing.