Please rate the following features, capabilities, functionality, etc. in order
of desirability and importance. A rating of 5 would suggest that the proposed functionality is extremely
important and would be a must have for traders. A rating of 1 would indicate that the feature is of little or no value.
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More risk analysis including measures such as Value at Risk.
The ability to be able to write a money management strategy in Money Manager, defining my own initial risk with formulas.
The ability to be able to apply an asset allocation to a list of symbols and to create an efficient frontier.
The ability to see my open position on a day-by-day basis to get more information on how many open positions were open over time as a part of portfolios backtesting.
The ability to compare real portfolio performance with the performance during backtesting in the same software application.
The ability to historically test option strategies and generate performance reports for various user-defined option strategies using actual data.
The ability to historically test option strategies and generate performance reports for various option strategies using option-pricing models (Black Scholes, etc.).
The ability to track positions, enter trades, and generate performance reports and analysis in addition to what is available from my broker, clearing firm, or order-entry software.
If you think the above feature is important please describe the most likely source and format of the trades (e.g. my brokers download, text format, manually entered):
If you have any other additional information that you would like to share with us please do so below: