Hi Mark,
I would like to know accurately the min and max of a P&L curve for a date range, that is, the min and max of the values plotted in the the Portfolio Gain graph type.
When the date range is very large it is a bit imprecise to identify visually accurately what the real min and max points are. And if I zoom the graph (narrow the date range) to see the extremum points better, le P&L is of course recalculated for the new date range, so of course this doesn't work.
Is there better way to do that than visually with the Portfolio Gain graph type? Maybe with a report?
Thanks