Auxiliary Equity Configurator (AXE) is a whole new level money management auxiliary that calculates statistically preferable lot based on the Account balance, Winning rate, Risk reward ratio, and Kelly multiplier configured a priori in the input panel. On the chart, RR visualization bands, Expected balance history matrix in the worst successive trading loss (for...
This is the Winway's Pivot breaktout, Using the Pivot point , we made a new volatility breakout strategy. It's the strategy for ETH / BTC. Please choose 1H time frame. No repaint. "As a long-only day trend strategy, we pursue profits in the downward / transverse / rising market." - It will be exited based on the closing price of the day as a strategy to take...
This strategy consists of the following elements and can all be set by the user. 1. Enter as the price drops. 1) Selection of multi-time frame. - 30 minutes - 60 minutes - 90 minutes - More than 120 minutes 2) Selection of Order Count - Order Count == Long entry's qty 3) Selection of First / End indent price gap It is DCA (Dollar Cost Averaging) - A DCA...
this indicator has been designed to make your calculations easier and faster. you can use this indicator to set tp and sl prices based on your entry price, balance,risk and leverage. it has been designed only for cryptocurrency market and it is not recommended to use it in other markets! 1- enter your balance in the setting of the indicator. 2- enter risk...
Based on the NNFX Lot size position calculations MoneyMovesInvestments would like to provide to you the Free MM Atr Risk calculator Directions are simple Tells you the Atr value Stop loss in pips You can enter your account size Based on your account size, enter the percent you want to risk then the calculator will tell you your stop loss in pips based on...
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
What is risk of ruin? The risk of ruin is a statistical concept that matches the probability that you reach the point where it is no longer possible to recover the losses or continue. Please note that this is not the total capital in your account, as you should NEVER risk 100% of your capital. Ideally, you should be prepared to risk 25-30% of your account as a...
This strategy is a demo for fixed price stop loss. This strategy enables you to specify fixed price stop loss. Let's say your deposit is USD. When you trade EURCAD, you need to specify the quantity for trade. Here comes three chances for trade. A: SL pips: 500 B: SL pips: 200 C: SL pips: 100 In these trade, the risk is different for each. ABC risk ratio...
The strategy works with the crossing of two moving averages, slope and basis line of the volatility bands. when slope crosses up the basis line the signal is buy, when slope crosses down the base line it is sell the volatility bands represent standard deviations, when the market is flattened it is consolidated Show Break Out Support or Resistance Alarm The...
Full trading strategy for Stocks, Equity ETF’s, and Crypto. Not for FOREX or commodities. Buy/Sell signals, and money management. Low drawdown, consistent gains. Equity protection during crashes! Long strategy for long term bullish assets. Best for Leveraged Long Equity ETF’s. Trading Robin has also performed well on Crypto Assets such as BTCUSD, ETHUSD, and...
This indicator compliments the Musashi TrendBars and allows convenient multi time frame analysis. This HeatMap, shows 5 different time zones, each with color codes to indicate the trend expression of a corresponding timeframe. - Dark Green = Good Uptrend (ok to enter short) - Light Green = Uptrend but it can be exhausted (put in protective stops) - Cyan = In...
This script is for research purposes only. I am not a financial advisor. Entry Condition This strategy is based on two take profit targets, two stop loss, and scaling out strategy. The entry rule is very simple. Whenever the EMA crossover WMA, the long trade is taken and vice versa. Take Profit and Stop Loss The first take profit is set at 20 pips above the long...
This script is for research purposes only. I am not a financial advisor. Entry Condition This strategy is based on two take profit targets and scaling out strategy. The entry rule is very simple. Whenever the EMA crossover WMA, the long trade is taken and vice versa. Take Profit and Stop Loss The first take profit is set at 20 pips above the long entry and...
This tool finds the most optimal allocation size for each trading setup. It has 3 modes. Basic (it meets the minimum profitability requirements): % Profitable: the probability of winning and is calculated by dividing the number of winning trades by the total number of trades. Profit Ratio: a measure of the ability to generate profit instead of loss and is...
Here is my implementation of the No Nonsense Forex way of trading. I've tried to apply most of VP's rules to the best of my coding abilities. As of now, with default settings, the strategy does not perform exceptionally well - however I'm pretty confident there is a combination of settings that will make it profitable across all pairs, and maybe even...
The indicator generates position sizing based on ATR value, the idea is to minimize position size during a period of high volatility. If you have a high-risk tolerance you can change the trading style to "High Volatility Entry".
Volatility riskreward moneymanagement This script tells you where to place your Initial Take Profit Targets and Stop Losses both long and short. The position of these targets is based on price volatility (using ATR to calculate). Distance of stop loss and take profit can be modified as multiples of the ATR. For a 2:1 reward:risk ratio, set Take Profit to...