XMIM Profit/Loss User Guide

Table of Contents

Profit/Loss (P/L) Query Basics
Initialization and System Settings
Specifying Execution and Attribute Units
Execute Options
Order Entry
Specifying the WHEN Condition
Specifying Exit Conditions
XMIM Exit Options
Order Blocks and Trade Orders
Order Blocks
Buy/Sell Trade Action
Time Offset and Order Active Options
Trade Group
Trade Exit
EXIT and EXIT INDIVIDUAL conditions:
Exit Order
Exit on Reverse Signal
Maintain Positions Overnight
Exit on Stops and Objectives
Entering a Long
Exiting a Long
Entering a Short
Exiting a Short
P/L Query Examples
P/L Calculation Options
Execute Options Window
Equity Statistics
Commission and Slippage
Rollover Options
Exit on Reverse Signal
Compute StopLoss/Profit on Entry
Maintain Positions Overnight
Blocks Active Only Once
Only One Block Active at a Time
Compute Equity as NAV
Commission and Slippage
P/L Report Options
Introduction
Summary Report
Trade Report
Equity Report
Report and Statistics Options
Definitions
Trade Statistics
Period Statistics
Length Statistics
Contract Statistics
Average Period Statistics
Average Trade Statistics
Extremal Statistics
Final Statistics
LET Statement
Using the LET Statement
Run Query on Multiple Symbols
Assign Variables to Complex Statements
Range Over Values
Query My Own Data
Adding Output Constraints to LET Statements
Initialize
Finalize
On-the-fly Continuous Contracts
Executing External Programs from within an XMIM Query
Index