I was looking through http://www.ninjatrader.com/support/h...simulation.htm Monte Carlo manual and there are some important questions to be asked:
It says:
a) Does it add a normal distribution produced variable on top of the actual data ?
b) Does it use only a normal distributed variable and ignoring the present data ?
c) Does it mix the sequence of the data ? ( candlestick 4 - candlestick10 - candlestick22 etc )
... or something else ?
If the case a and b are true, is there any way for me to use another distribution ?
I would be very happy if someone could answer the above questions.
Thanks in advance

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