1. The period used by the policy test is limited to the script. Such as z series, fixed at 240 minutes.
Select another cycle, invalid.

2. Because there is no source, there is no obvious place to see the strategy is used T1 or T6 data files, who knows please explain?

3. Strategy test results will only show a chart, obviously there are multiple oversampling cycle, multiple trading symbols.

4. The chart is clearly green profit, net worth is down, obviously a red loss line, the net background is rising, how could this be correct?

5. For the Z series, I just want it to trade a symbol, but he will read multiple symbols, although some symbols may not exist, but how to make a limit?


6. Performance report "Portfolio analysis", There are many signs,
AUD / USD: ES .036 1.14 45/87 0.1 \\\\\\\
AUD / USD: ES: L .036 1.14 45/87 0.1 \\\\\\\\
AUD / USD: ES: S .000 ---- 0/0 0.0 ...........
AUD / USD: HP .024 1.18 76/102 2.2 X / XX / XX /
AUD / USD: HP: L .024 1.13 47/68 1.2 //./\////
AUD / USD: HP: S .043 1.35 29/34 1.0 / \ /./ \\
AUD / USD: LP .029 1.66 75/149 7.5 / X /// X / X /
AUD / USD: LP: L .029 1.80 42/71 6.8 ////// / /
AUD / USD: LP: S .058 1.23 33/78 0.6 / /// \ ///

These: ES: ES: L: ES: S: HP: HP: L: BB ......, what are these mean? Online help inside there is no description?

7. Because the restrictions are so much that it is far worse than MT5's free features, like tasteless.Why not limit less?