MONEY MANAGEMENT SIMULATION

I detected a possible bug running the money management simulation. I selected the "Risk fixed % of account: 1.0%, 1.0 lots, 100 max lots" and run the scenario. The equity chart showed one trade with a huge profit compared with the original simulation. When I looked this specific trade with huge profit, the lot size is very high compared to the previous trades. I attached the original and the simulated scenario. The trade that a suspect is the number 183 with a lot size of 7.49. As we can see, the lot size of this trade is very high from the previous.
Attachments
Screen Shot 10-13-17 at 0833 PM.png
(69.58 KiB)
Screen Shot 10-13-17 at 0813 PM 001.png
(196.47 KiB)
Screen Shot 10-13-17 at 0813 PM.png
(191.99 KiB)
  • Votes +1
  • Project QuantAnalyzer
  • Type Bug
  • Status Refused
  • Priority High

History

FB
#1

lumbrjack

14.10.2017 01:38

Task created

FB
#2

lumbrjack

14.10.2017 21:41
I calculated the correct position size from the trade 183 risking only 1%. The correct size is 0.06 lots, but in the test we have a 7.49 lots.
d
#3

Dan

01.12.2018 16:41
Voted for this task.
TT
#4

Tamas

28.01.2019 09:53

Status changed from New to Refused

I am not able to reproduce the issue without the report.

Votes: +1

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