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组别盈亏报表:提供所有交易及其总盈亏的概览,以及盈亏的每日变化、佣金和费用/收入详情。这可以与历史组别盈亏一起使用。可以看到品种、交易策略、公司、 交易员的不同维度来查看盈亏,以及总盈亏。

Fund Net Asset Value (NAV) Report is used to determine the performance of your funds based on base amount, P/L, NAV ratio and predetermined call/cut levels. You may upload your paper trades as per normal via Creating New Paper Trade(s) and the model will calculate the figures accordingly. You may also input the Call and Cut Level to determine if your NAV Ratio requires immediate attention.

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  1. 您必须先录入期货交易现货交易数据以产生盈亏数据。

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