Description from the Publisher
Balanced easy to use money management, asset allocation and portfolio optimization software for investors and traders. Through simulation it allows you to analyze your trading results as well as what if ideas, this way identifying underlying opportunities and risks. To boost future results you now can find an optimal betting and cash reserve percentage considering your chances and degree of diversification. Furthermore you can optimize your degree of diversification. Summary: Traders Risk Management Guru 2.0 is a software tool assisting the investor and trader to manage their money management, portfolio optimization and asset allocation needs by identifying and establishing a proper balance between opportunities and risks.