Topic: How can i handle this
I want to have an portfolio with for example 10 strategies with 10years backtest data. 10 strategies with 5 years backtest data . 10 with 2 years and 10 with 1 year backtest data.
So i have created for each backtest time my collection. And now how can i handle it that i can put in all in one from my backtest times. i know that it will make bad balance curve. But i want to try it out.