Equity Trade Risk Manager is a simple indicator that helps you protect your portfolio by going into each trade risk first ! Equity Trade Risk Manager does this by calculating your ideal position size or ideal stop loss based on your account size, purchase price and risk tolerance. This ensures you are never risking more than your predetermined amount on each...
Full Name: Risk Management GO8686: Stop Loss, Position Size & Target What this indicator provides: A dashboard to calculate Stop Loss, Position Size and Target, where users can customize Risk Management parameters in the setting. Position Size: calculated from "initialCapital", "Leverage", "Max Loss", "feeMaker", "feeTaker". Stop Loss Price: using pivots, default...
Commission-aware Trade Labels Description: This library provides an easy way to visualize take-profit and stop-loss levels on your chart, taking into account trading commissions. The library calculates and displays the net profit or loss, along with other useful information such as risk/reward ratio, shares, and position size. Features: Configurable...
Updated - Version 2 This tool is used to calculate the size of a trade. Settings - Type in total account size and % of capital that can be risked on each trade. The table will display: Column 1 - Stop placement based on low, mid or high value of the current candle. Column 2 - Percent risk on the trade. Column 3 - Amount of shares that can be traded...
Forex Lot Size Calculator based off stop loss (ticks), also shows the lot size needed for taking partials (based of % of trade to close partial position). credits inspired by @DewMic adapted from @hanabil
How to use: Use the cursor to select the time, entry, stop loss, and target position. Then a window will pop up and type the trading fee or any other things you want to adjust to calculate the actual reward/risk ratio according to the price you selected. Known error: Settings of this script can't be saved as default might due to the interactive price selection...
Props to @Veryfid for his original script 'ATR Stop Loss Finder'. The concept is simple. We use the average true range to determine an appropriate stop loss distance based on recent volatility. The original script calculated the stop loss offset from the current candle's high or low. Here, I've added the option to offset stop loss from the recent local low or...
This is an intuitive risk management tool with a minimalist design. This calculator will determine your position size per trade, profit, loss, risk/reward ratio and leverage if any. It will calculate your leverage if you are trading financial instruments e.g. Mini Futures , Turbo Warrants etc. that have a financing level. Tip: Use this as a complement to the...
All you have to fill out is your account balance, the % amount of your account you want to risk, and the percentage of ATR you want calculated. If you have 100% it will do a full ATR calculation. So if the ATR is $2 then your risk per share would be $2. If you had 50% in the same example it would be risking $1 per share. You can also customize what time frame...
This simple script provides a way of calculating position size on a bar by bar basis for a fixed risk amount. If you are trading a fixed risk amount (e.g. $100) per trade and your Entry and Stop is defined by a specific bar on the chart (any resolution e.g. 15 min, 5 min, 2 min etc) then this indicator will show you the position size you can take. The user...
This indicator I am using to calculate the position size to order for Forex and Crypto Future
Current script was created to help faster calculate possible gain or loss from a furure trade. Making money management a bit simpler, by changing values you can adjust proper trade leverage and see possible target values
The Auto Position Sizing Risk Reward indicator shows different Risk levels 1, 1.5, 2 and 3 based on your risk amount and uses an auto Stoploss level based on the ATR. You can set the values for the "Note or Title", "Risk Amount", "Entry", "Target Price", "Stop Loss Distance", "Default Risk/Reward" and ATR settings. The "auto" part comes into play when you...
This script helps the user visualize profit targets and calculates position size based on the input risk amount. Input variables: - Risk amount - Entry price - Stop loss amount - Profit target amount Calculated variables: - Profit loss ratio - Position size - Postion cost Plotted variables: - shaded: entry price --> price target (green filled) -...
Hello there , Short version of the Macd Long strategy. MACD Long strategy: Adding margin: Forbidden or not specified. (Add Margin : No) Position size: (for each trade) 1% Stop-Loss: (2% Above Entry Level) Long: macd crossunder Exit: macd crossover Or ofc touching the stop-Loss value as predicted. These strategies are just examples. The...
Hello there. I was looking for a way to simulate leveraged transactions in Tradingview and this script came out. You can examine the equity graph without looking at the strategy results. Thus, the facts will come to light. Strategy parameters: Adding margin: Forbidden or not specified. (Add Margin : No) Position size: (for each trade) 1% Stop-Loss:...
This is a script to make calculating position size easier. It calculates position size as a percentage of account balance and Risk/Reward based on input values of entry, exit, stoploss and shows the R/R box similar to tradingview's R/R tool. There is an option to toggle showing label and choosing of label text color. Have to enter the following inputs in order...