Работа завершена

Время выполнения 15 дней
Отзыв от заказчика
Challenging project - Excellent delivery and persistence from the programmer to get it right - Can recommend and will use again.
Отзыв от исполнителя
Enjoyed working with them. Their patience is very good. If I get a chance to work with them in future, I will definitely do it.

Техническое задание


Must have a good understanding of the coding of profit/ loss / Drawdown as set out below and in strategy tester report.

Coding to be done on existing indicator panel I have code s error free and compiles.

Screenshot and coding snapshot provided. 

Positive and negative positions to be displayed as per colour selection in settings.

Select in settings what to display from list below - Example Account Margin - Yes // Account Free Margin - No // Absolute Draw down  - No

Final details and indicator will be provided when developer selected and price confirmed.

  • [ ] Balance- money on the account, not accounting the floating profit of currently open orders.
  • [ ] Equity- deposit funds accounting for the results of the currently open positions (floating profit/loss) - Money and Percentage
  • [ ] Floating P&L– profit/loss of all open trade positions on account - Money and Percentage
  • [ ] Closed Trade P&LTODAY, THIS WEEK, THIS MONTH THIS YEAR – profit/loss gained during the life time of the account - Money and Percentage
  • [ ] Account Margin- Account margin used in the deposit currency
  • [ ] Account Free Margin- Money and Percentage(Margin Level)
  • [ ] Account Margin SO_SO- Margin stop out level. Depending on the set ACCOUNT_MARGIN_SO_MODE is expressed in percents or in the deposit currency
  • [ ] Growth– growth of the deposit in percentage terms calculated on the basis of trade operation only without taking into the account the deposits and withdrawals.
  • [ ] Absolute Draw down- compared to initial balance
  • [ ] Maximal Draw down- largest drawdown (measured in currency) - Relative Draw down- largest relative drawdown (measured in %)
  • [ ] Efficacy= Net Profit / Gross Profit
  • [ ] Reliability= Efficacy / Relative Drawdown
  • [ ] Profit Factor– ratio between gross profit and gross loss. One means that these parameters are equal;
  • [ ] Recovery Factor– this parameter displays the risk level of the strategy (the funds that are put to risk to earn the obtained profit). It is calculated as the ratio of gained profit to the maximum drawdown;
  • [ ] Sharpe Ratio– this parameter shows strategy efficiency and reliability. It displays the ratio of the arithmetic mean profit during the time the position was open and the standard deviation from that profit. The risk-free rate, which is the profit gained from the appropriate bank deposit funds is also considered here;




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Информация о проекте

Бюджет
30 - 60 USD
Исполнителю
27 - 54 USD