Risk Parity Portfolio

The RPP script computes the optimum weights of a portfolio of symbols (stocks, forex pairs, indices, etc.) using the Risk Parity Algorithm.

You can read the theory of the Risk Parity algorithm in this Wikipedia page.

Inputs:

1) Symbols in the portfolio.

2) Time frame you are interested in.

3) Number of past bars to compute the correlations.

4) Print the covariance matrix (true/false)

5) Print the correlation matrix (true/false)


Output: Optimum weights for each symbol in the portfolio. These are printed in the Experts tab.

These weights are such that they account for the level of volatility (measured by standard deviation of returns) and the historic correlation between symbols.

Suppose you have US$ 1000 to invest in 3 symbols. You run this script (RPP) and get three optimum weights: W1,W2,W3. In order to have risk parity in your portfolio, you should bet W1*1000, W2*1000, and W3*1000 in the first, second and third symbol, respectively. 


Also in the Experts tab output is the covariance matrix normalized by the first diagonal entry in the matrix.

The diagonal entries are a measure of the relative volatility of a symbol with respect to the first symbol. For instance, in the screenshot below, since all diagonal entries are less than 1, it means that XAUUSD (the first entry) has the highest volatility among these symbols, and USDCAD being the least volatile of the set, with 0.092 in the diagonal (9.2% of the XAUUSD volatility).

The off-diagonal entries are a measure of the correlation between symbol's returns, but a better option is to read the off-diagonal entries of the correlation matrix. For instance, in the screenshot below, the highest off-diagonal value in the correlation matrix is -0.727 between USDCAD and AUDUSD, which means that these two symbols have a high correlation (greater than 0.7 in absolute value) and it is negative; when USDCAD goes up, AUDUSD goes down (statistically speaking), and vice-versa. As a second example, the lowest off-diagonal value in the correlation matrix is +0.001 between EURUSD and XAUUSD, which means that they move quite independently (uncorrelated).

Be aware: the covariance and correlation matrices are key in the calculation of optimal weights. These matrices depend on the input time frame and the number of historic bars. These two parameters should be in accordance with your strategy. For instance, if you are a swing trader that hold positions for days, use daily or higher time frames. If you are a day trader that hold positions for minutes, use minutes or hours time frames.


Other approaches to select optimum portfolio weights include the Portfolio Efficiency Front (Pareto Front) which is implemented in PEF.


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HMM Latest version: v1.3 User Manual, Guide and set file  FEATURES - HMM uses the famous Hidden Markov Model to predict the price trend. - It uses the algorithms of Baum-Welch and Viterbi to train the model and predict price trend. - This implementation of Hidden Markov Models is a self-adjusting online learning algorithm that processes up to 160 bars from the latest data to readjust its parameters at the arrival of every new bar. - It trades ANY Forex pair, ANY metal symbol. We recommend majo
BO FEATURES   (User Manual, Guide and Set File) Before running this EA, ma ke sure that your account size matches the initial deposit input parameter (RM0) in the set file you are running. - BO is based on the symbol’s price actions after a defined period of time and making a B reak O ut. - It trades ANY Forex symbol, ANY metal symbol. We recommend major ones: combinations of USD,GBP,JPY,EUR,AUD,CAD,XAU. - User may run any number of symbols in parallel by running an instance of this robot on eac
aHA FEATURES Latest update: v1.2 Before running this EA, ma ke sure that your account size matches the initial deposit input parameter (RM0) in the set file you are running. User Manual, Guide and Set files  -   aHA   i s based on the symbol’s price actions after processed with Heikin Ashi and fractal filters. - A Heikin Ashi fractal followed by a strong trend will signal an entry in the direction of the trend. - It trades ANY Forex symbol, ANY metal symbol. We recommend major ones: combinations
USER MANUAL, GUIDE and SET FILE LINK Before running this EA, ma ke sure that your account size matches the initial deposit input parameter (RM0) in the set file you are running. ZING FEATURES - ZING is an expert advisor that uses four stochastic indicators and two time frames to predict the price trend and trigger a trade. - It trades ANY Forex symbol, ANY metal symbol. We recommend major ones: combinations of USD, GBP, JPY, EUR, AUD, CAD, XAU. - User may run any number of symbols in parallel
Before running the Demo version of this EA, make sure that your account size matches the initial deposit input parameter (RM0) in the set file you are running. USER MANUALS, AND SET FILE LINK LYNX FEATURES - LYNX i s an expert advisor that combines Stochastic, MACD and RSI indicators to signal the entry of a trade. It trades ANY Forex symbol, ANY metal symbol. Use major ones: combinations of USD, GBP, JPY, EUR, AUD, CAD, XAU. User may run any number of symbols in parallel by running an instance
A more detailed explanation with examples of PEF input/output is found in   this blog page. 1. Overview The PEF script is a tool for portfolio optimization. It computes the Pareto E fficient F rontier between portfolio return and risk (either CVaR or Standard Deviation ) using Monte Carlo simulations and bootstrapping methods. The script enables traders and quantitative analysts to: Load historical price data for multiple instruments. Simulate portfolio outcomes with random or custom weight al
PARTy a Particule Filter EA
Better Trader Every Day
PARTy FEATURES Before running the free demo version of this EA, ma ke sure that your account size matches the initial deposit input parameter (RM0) in the set file you are running. PARTy uses the Particle filter method. The Particle Filter method for prediction is a sequential Monte Carlo technique that uses a set of random samples, or "particles," to represent the probability distribution of a dynamic system's state, updating these particles based on observed data to improve predictions over t
If you optimize your EA with backtest+forward, this is the script you need. Imagine this: you have 10k simulations in the Optimization step (the back test), and you get another 10k in the Forward step. Each pair of simulation is done with a set of input parameters for your EA. Then the question are: Which set of parameters should you select for live trading? What criteria should I use to select such set? How much weight should I put to profit versus draw down or versus recovery factor?  OPS help
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