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Risk-Adjusted Performance Gauge

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Risk-Adjusted Performance Gauge

Technical Summary:

The "Risk-Adjusted Performance Gauge" is a comprehensive indicator that amalgamates key risk and performance metrics to provide traders and investors with a holistic view of an asset's historical performance. By combining four essential indicators—Sharpe Ratio, Sortino Ratio, Omega Ratio, and Z-Score—this gauge aims to offer a nuanced assessment of risk-adjusted returns.

Catatan Rilis
Customizable Lookback Period
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Catatan Rilis
Now you can customize the long and short thresholds for each ratio, as well as the combined signal.
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Pernyataan Penyangkalan

Informasi dan publikasi ini tidak dimaksudkan, dan bukan merupakan, saran atau rekomendasi keuangan, investasi, trading, atau jenis lainnya yang diberikan atau didukung oleh TradingView. Baca selengkapnya di Ketentuan Penggunaan.