I don't pay attention to broker-generated risk metrics really, but rely on my own spreadsheets instead (very simplistic stuff and old school). I have just been playing with IBKR's statements and produced something very exhaustive with PortfolioAnalyst, from inception to date:
Reading about those risk metrics, I wonder which are important to keep track of and/or improve?
Thanks
Reading about those risk metrics, I wonder which are important to keep track of and/or improve?
Thanks

