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Help Evaluating the Results that I have

I have obtained the following results from my hourly Oanda FX portfolio balancing model from the blind set between 1'st of January and 13th of March with a very simple order execution as I am still a newbie in the platform. I would like to hear from more experienced members of the QuantConnect community that whether these results show some potential e.g. for a hedge fund, given that the execution yet very simple and doesn't configure any leverage, conditional orders, stop-loss or take-profit for the orders made, and there is lots of space for improvement (for instance balancing is done through USD parities and cross-parities are not utilized).

Compounding Annual Return: 5.362%
Drawdown: 0.8%
Expectancy: 0.391
Net Profit: 1.035%
Sharpe Ratio: 2.141
Loss Rate: 50%
Win Rate: 50%
Profit-Loss Ratio: 1.76
Alpha: 0.089
Beta: -3.011
Annual Standard Deviation: 0.019
Information Ratio: 1.324
Tracking Error: 0.019
Treynor Ratio: -0.014

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good sharp ratio,try to get the same for a longer period

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Hello Erik, I will definetely try to do that! Thanks.

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The material on this website is provided for informational purposes only and does not constitute an offer to sell, a solicitation to buy, or a recommendation or endorsement for any security or strategy, nor does it constitute an offer to provide investment advisory services by QuantConnect. In addition, the material offers no opinion with respect to the suitability of any security or specific investment. QuantConnect makes no guarantees as to the accuracy or completeness of the views expressed in the website. The views are subject to change, and may have become unreliable for various reasons, including changes in market conditions or economic circumstances. All investments involve risk, including loss of principal. You should consult with an investment professional before making any investment decisions.


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