Position Size Calculator Instructions Overview The Position Size Calculator is designed to help traders automatically determine the appropriate lot size based on the dollar amount they are willing to risk. It includes features for automatic lot sizing, fixed lot risk calculations, take profit calculations (both automatic and fixed), max run-up, and max...
This script is an Multi Asset measurement tool that can be used to evaluate or keep track of trades. Like the long and short position drawing tools, it calculates a risk reward ratio and a risk-adjusted position size from multiple entries (4 maximum), stop and take profit multiple levels ( 4 maximum) , but it also does much more: • It can be used to configure...
This indicator takes (1) an entry price or average position price and (2) position size (denominator) to calculate current gain or loss and returns those as well as the position change in percent. It will also draw into the Chart and show relevant data in a table. It is mainly supposed to help tracking an (average) spot position easily. It is recommended to...
The Position Cost Distribution indicator (also known as the Market Position Overview, Chip Distribution, or CYQ Algorithm) provides an estimate of how shares are distributed across different price levels. Visually, it resembles the Volume Profile indicator, though they rely on distinct computational approaches. 🟠 Principle The Position Cost Distribution...
Position and Risk Calculator : Your Ultimate Risk Management Tool for Indices The difference between a novice and a seasoned trader often comes down to one essential element: risk management. While trading indices, the challenges are even more intense due to market volatility and leverage. The Position and Risk Calculator steps in here to bridge the gap,...
Position size tool, leverage calculator, trade tracker, money management, trade presentation, risk reward management, margin position, live profit and loss, that's all in this one Trade Manager indicator. The idea for this indicator comes from two years ago when I was helping a friend who, at the request of 15-20 members from our telegram group, wanted to create...
Trading effectively requires a range of techniques, experience, and expertise. From technical analysis to market fundamentals, traders must navigate multiple factors, including market sentiment and economic conditions. However, traders often find themselves overwhelmed by market noise, making it challenging to filter out distractions and make informed decisions....
Upon adding the indicator to the chart, you will be prompted to place entry price lines, stop loss price line, and multiple take profit price lines by clicking at the desired price level on the chart. Section Summaries Table Settings: Allows users to select position and font size from drop-down menus. Displays current settings and potential profit/loss...
This indicator enables interactive placement of limit or stop-limit orders with a trailing ATR stop-loss and optional profit target (with alerts). Refer to the images below for further clarification. Why use a trailing stop-loss? A trailing stop-loss serves as an exit strategy when price moves against you, while also allowing you to adjust the exit point...
Enter your purchase price & the quantity. It'll display a line at that value, with a label indicating the current gain/loss
█ OVERVIEW This indicator is a predecessor to Regression Channel Alternative MTF , which is coded based on latest update of type, object and method. █ IMPORTANT NOTES This indicator is NOT true Multi Timeframe (MTF) but considered as Alternative MTF which calculate 100 bars for Primary MTF, can be refer from provided line helper. The timeframe scenarios...
This indicator is the advanced version of the position tool in Trading View. When I opened a trade in Metatrader, I had to switch between the MetaTrader and Trading View programs for the amount of profit or loss, that's why I thought of writing an indicator that shows the exact amount of profit, loss, size and other values of the open trade. It came to my...
Cuban's Range Positioning is the primary backbone of Cuban's Asset Screener and a fantastic standalone market screening tool. Range Positioning allows the trader to monitor the positioning of over 200+ Binance and Bybit Futures assets within a single window, with a standard measurement of performance, and also with custom watchlist support. The range...
Cuban's Asset Screener is a tool designed to view the health of the entire market in a single charting window, using a multi-timeframe, real-time heatmapped asset screener built natively within Tradingview. You can use this tool to aggregate and display critical information required to identify your favorite trade ideas using other Cuban's Edge tools. Although...
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...
Visual display for information: -Account capital -Type of asset, for example forex or cfd or crypto... -Display Contract Size -Display the risk level in % and amount -Show Entry, Stoploss, TakeProfit -Display Risk Reward Ratio, Risk and Reward in Pips -Calculating the volume of the entry position -Display 3 red labels when the order of Stoploss - Entry - Profit...
Hello traders, This is a script I use daily as a scalper and it helps me a lot, maybe it can help you, this is why I am sharing it! PART 1 - DESCRIPTION This program is specifically designed to help scalpers but can be used for all types of trading but won't be as useful. This script is what I call an entry helper as it calculates dynamically the position size,...
This script calculates the position size base on the stop loss price, entry price, and the percent of equity willing to risk. Formula: (Asset Quantity) = (Amount Risk at Trade) / (Price Difference Between Entry Price and Stop Loss) or Position size = (% Equity at Risk) * (Equity) / (Entry...