Experts agree that it’s more important to know how much to trade than when to trade. Money Manager 7 has revolutionized the ways in which system developers can test, optimize, and analyze the performance of money
management strategies on portfolios of systems. Historically testing your
trade size with Money Manager 7 helps you leverage the potential of the
trading system that you have worked so hard to design.
  Money Manager 7 is designed for those who would like to test almost every well-known money management strategy on a portfolio of systems. We have
researched and programmed for you almost all of the well know money management approaches available in industry literature. Now you can see the impact these strategies will have on a portfolio of your own design.
Some of the strategies that you can apply to a portfolio of systems include:
- Fixed Fractional (with several variations for different asset types)
- Percent Risk
- Percent Volatility
- Asymmetrical Leverage
- Optimal f
- Secure f
- Kelly Strategy
And this is just a sample of some of the strategies that you will have
available. In addition, Money Manager 7 has strategies that let you test
the application of equity curve strategies and the scaling of positions
based on price action or profits. Some of these include:
- Equity Curve Breakout
- Equity Curve Moving Average
- Maximum Favorable excursion
- Drawdown Support
- Underwater Equity Curve Strategy
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And several more...
We have gone beyond giving traders just the ability to test one strategy at a time. You can test strategies across a range of parameters using Money Manager 7’s optimization capabilities. In just seconds or minutes you can see how your strategy performed across a range of money management settings. Know how your portfolio would have performed had you risked between 1 and 10 percent of your capital on each trade. See how various levels of risk would have affected the portfolio drawdown and return. In addition, our graphing capabilities let you view where trades that were generated through the application of money management occurred. See where your system was above its equity curve moving average or intra trade levels at which positions would be increased with Maximum favorable Excursion. These are just a few examples of how these features can be used in your system and portfolio analysis.
Once you have tested a portfolio with money management strategies applied
Money Manager 7 gives you the power to generate detailed reports that let
you see every aspect of system and portfolio performance. The portfolios
with money management applied can then be saved for easy retrieval at a
later date, allowing you to build an extensive library of money management
portfolio reports. If that is not enough send the reports to Excel for
additional custom calculations and graphing.
  Money Manager 7 is the only money management software designed to work
seamlessly with TradeStation (including versions 2000i, Pro, 7, and 8). No
need to paste in text to your system code or copy files back and forth. The
software integrates with the Strategy Performance Report so all you have to
do is click a button. In addition, our new xml import export capability
lets you import actual trades or share data in a standard format for maximum
flexibility.
Click Product Ordering to purchase Money Manager 7.
Click HERE to download the Money Manager 7 Order Form in Adobe Acrobat format.
Call today and see how Money Manager 7 can revolutionize strategy development and portfolio testing for you.
Call RINA Systems at (513) 469-7462.
Or e-mail us at Sales@RINASystems.com
Existing users please inquire about special pricing.
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