Hi, I have two questions concerning reinvestments:

1)
In the manual, in the part of Montecarlo it says:
Quote:
If the Capital variable is set, performance parameters are derived from the given capital, not from the Confidence level.


Does this mean that the CAGR is derived from the equity of the backtest and not from the many sampled equities from Montecarlo?

How can I know the CAGR from many sampled equities with Montecarlo? Is there the possibility to have a report like this?

Confidence level CAGR DDMax Capital

10% 70% 1440$ 1390$
20% 50% 1550$ 1470$

2) What happens with the strategy when you compound and at the end, say 2020 you want to remove capital+profit? Do you screw it if you want to start the strategy again? That is to say, is there any statistical problem with that? For instance with the expectancy of a drawdown, margin call, etc? If so, is there a way to avoid them?

Thanks beforehand!