OPEN-SOURCE SCRIPT
Actualizado Flux Portfolio Visualizer | GL0WDASH

Flux Portfolio Visualizer | GL0WDASH
Flux Portfolio Visualizer lets you simulate and track the performance of a multi-asset portfolio directly on the chart.
Choose up to 10 assets, assign custom allocation weights, and set a start date to generate a real-time equity curve based on historical price data.
The script performs one-time proportional allocation at the start date and then tracks equity forward without rebalancing, giving you a realistic view of how your portfolio would have evolved over time. It also includes a maximum equity drawdown tracker and an optional level line for reference.
Features:
• Allocate to up to 10 assets with custom weight percentages
• Specify initial capital and simulation start date
• Real-time equity curve based on confirmed bars
• Maximum equity drawdown tracking + table display
• Optional horizontal reference line
• Designed for long-horizon allocation experiments
Great for:
• Passive portfolio stress-testing
• Comparing allocation strategies
• Evaluating long-term crypto/asset mixes
• Visualizing risk via max drawdowns
This tool does not execute trades or rebalance—its purpose is pure visualization, giving traders clarity about how portfolios behave under different allocation assumptions.
If you expand or modify the indicator, please credit the original author.
Flux Portfolio Visualizer lets you simulate and track the performance of a multi-asset portfolio directly on the chart.
Choose up to 10 assets, assign custom allocation weights, and set a start date to generate a real-time equity curve based on historical price data.
The script performs one-time proportional allocation at the start date and then tracks equity forward without rebalancing, giving you a realistic view of how your portfolio would have evolved over time. It also includes a maximum equity drawdown tracker and an optional level line for reference.
Features:
• Allocate to up to 10 assets with custom weight percentages
• Specify initial capital and simulation start date
• Real-time equity curve based on confirmed bars
• Maximum equity drawdown tracking + table display
• Optional horizontal reference line
• Designed for long-horizon allocation experiments
Great for:
• Passive portfolio stress-testing
• Comparing allocation strategies
• Evaluating long-term crypto/asset mixes
• Visualizing risk via max drawdowns
This tool does not execute trades or rebalance—its purpose is pure visualization, giving traders clarity about how portfolios behave under different allocation assumptions.
If you expand or modify the indicator, please credit the original author.
Notas de prensa
- image update -Script de código abierto
Fiel al espíritu de TradingView, el creador de este script lo ha convertido en código abierto, para que los traders puedan revisar y verificar su funcionalidad. ¡Enhorabuena al autor! Aunque puede utilizarlo de forma gratuita, recuerde que la republicación del código está sujeta a nuestras Normas internas.
Exención de responsabilidad
La información y las publicaciones no constituyen, ni deben considerarse como asesoramiento o recomendaciones financieras, de inversión, de trading o de otro tipo proporcionadas o respaldadas por TradingView. Más información en Condiciones de uso.
Script de código abierto
Fiel al espíritu de TradingView, el creador de este script lo ha convertido en código abierto, para que los traders puedan revisar y verificar su funcionalidad. ¡Enhorabuena al autor! Aunque puede utilizarlo de forma gratuita, recuerde que la republicación del código está sujeta a nuestras Normas internas.
Exención de responsabilidad
La información y las publicaciones no constituyen, ni deben considerarse como asesoramiento o recomendaciones financieras, de inversión, de trading o de otro tipo proporcionadas o respaldadas por TradingView. Más información en Condiciones de uso.