Backtest Global Parameters
Start Date
End Date
Benchmark
Stop Loss
Take Profit M.
Start Cash
Commission
Reserved Cash
Slippage
Holding Period (days)
Market Trend Forecast Parameters
Allocation and Diversification Parameters
Max Correlation
Max Assets By Level
Risk Aversion
Min Weight
Max Weight
Asset Pool Parameters
Top Assets
Min Price
Max Price
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The top Assets are not yet available at the time or horizon requested. Hence no allocation can be performed.

High return with lower risk ?

Diversifying your portfolio is crucial, especially in high-frequency or short-term trading. Our goal is to provide the optimal asset allocation that minimizes portfolio risk while maximizing profit potential.

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