I tried using Wealth Lab 6.8 on the Fidelity website and ran into some problems that I hope can be explained to me.
I input a very simple rules based strategy which was 'Buy at market'. The security is UPRO. The scale is daily. The data range is 1/1/2008 to 11/21/2014. The position size is 100% of equity with a starting capital of 50,000.
The strategy results in 1 trade of 3474 shares purchased on 6/29/2009 at 14.50. Wealth Lab appears to have used the dividend/split adjusted price.
Now my questions.
When I divide 50,000 by 14.50, I get 3448 shares. Why the difference?
Wealth Lab shows a buy and hold net profit of 2,065,880.30 against a strategy net profit of 414,753.26. My strategy is essentially a buy and hold strategy, so why the big difference in net profit?
I hope this situation is nothing more than operator error, but I do need an explanation.
Thanks
Rick
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When I divide 50,000 by 14.50, I get 3448 shares. Why the difference?
It's neither "unexplained" nor an "error". Consequently, vague and misleading topic title
"unexplained strategy error - help please" has been corrected.
Please find explanation in the User Guide: Strategy Window > Backtesting Strategies >
100% of Equity Sizing >
Basis Price.
FAQ | Position Sizing, Extensions, Miscellaneous > "I'm using 100% Equity position sizing and strategy doesn't seem to use all capital and/or there are trades not included due to insufficient capital."
Now when you divide 50,000 by 14.39 (which was the basis price in this case), you get exactly 3474 shares.
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Wealth Lab shows a buy and hold net profit of 2,065,880.30 against a strategy net profit of 414,753.26. My strategy is essentially a buy and hold strategy, so why the big difference in net profit?
Because you supposedly used a 5:1 Margin Factor (the trade couldn't even be entered with the position sizing settings you mention without bumping the size down or using the Position Options PosSizer).
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Thanks for the reply.
I guess it was operator error and I have to do a lot more reading.
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