Overall Statistics |
Total Orders 3 Average Win 0% Average Loss 0% Compounding Annual Return 10.291% Drawdown 17.800% Expectancy 0 Start Equity 100000 End Equity 115894.93 Net Profit 15.895% Sharpe Ratio 0.226 Sortino Ratio 0.243 Probabilistic Sharpe Ratio 30.167% Loss Rate 0% Win Rate 0% Profit-Loss Ratio 0 Alpha -0.028 Beta 0.743 Annual Standard Deviation 0.121 Annual Variance 0.015 Information Ratio -0.692 Tracking Error 0.068 Treynor Ratio 0.037 Total Fees $4.50 Estimated Strategy Capacity $4800000.00 Lowest Capacity Asset BND TRO5ZARLX6JP Portfolio Turnover 0.18% |
# region imports from AlgorithmImports import * # endregion class FocusedVioletDogfish(QCAlgorithm): def initialize(self): self.set_start_date(2023, 10, 13) self.set_cash(100000) self.add_equity("SPY", Resolution.MINUTE) self.add_equity("BND", Resolution.MINUTE) self.add_equity("AAPL", Resolution.MINUTE) def on_data(self, data: Slice): if not self.portfolio.invested: self.set_holdings("SPY", 0.33) self.set_holdings("BND", 0.33) self.set_holdings("AAPL", 0.33)