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ajellis
23rd July 2004, 01:52 PM
I've embarrassed myself here in the past with a suggestion that was already in the program, but here goes again.

The monte carlo analysis output provides a best case, average result and worst case numerical output. I often then run a portfolio simulation to see how 'flat' the curve is.

What would be great is to have a curve of the best, worst and average results, to see if they're all generally flat or the outliers have huge dips or spikes in them.

Possible?

Andrew