INVITE-ONLY SCRIPT
Money Management Panel

Description
Funds Management Panel (Turtle Trading Specialized)
This script is a specialized money management dashboard designed to help traders calculate their "Practical Operating Funds" for precise position sizing. It is particularly useful for traders who use collateral (stocks/bonds) alongside cash and want to maintain a conservative safety margin.
Key Features:
Collateral Stress Testing: Automatically applies a discount (Stress %) to your collateral assets to account for potential market crashes.
Real-time Funds Calculation: Dynamically calculates your total practical funds by combining discounted collateral and available cash.
Risk Amount (1R) Display: Shows the exact currency amount you are allowed to risk per trade based on your specified risk tolerance percentage.
Safety Margin Tracking: Visually displays the "Hidden Assets" (the amount discounted from your collateral) for a clear view of your safety buffer.
Customizable UI: Adjust the panel's position and size to fit your chart layout.
How to Use:
Input your current Collateral Value and Available Cash in the settings.
Set your Stress Test % (e.g., 20%) to safely discount your collateral.
Define your Risk Tolerance % (e.g., 2.0%).
Use the calculated "★Funds" value as the capital base for your position sizing (Turtle method, etc.).
Calculated Values:
Funds: Stressed Collateral+ Cash
Risk Amount (1R): Funds*Risk Tolerance %
Safety Margin: Original Collateral- Stressed Collateral
Funds Management Panel (Turtle Trading Specialized)
This script is a specialized money management dashboard designed to help traders calculate their "Practical Operating Funds" for precise position sizing. It is particularly useful for traders who use collateral (stocks/bonds) alongside cash and want to maintain a conservative safety margin.
Key Features:
Collateral Stress Testing: Automatically applies a discount (Stress %) to your collateral assets to account for potential market crashes.
Real-time Funds Calculation: Dynamically calculates your total practical funds by combining discounted collateral and available cash.
Risk Amount (1R) Display: Shows the exact currency amount you are allowed to risk per trade based on your specified risk tolerance percentage.
Safety Margin Tracking: Visually displays the "Hidden Assets" (the amount discounted from your collateral) for a clear view of your safety buffer.
Customizable UI: Adjust the panel's position and size to fit your chart layout.
How to Use:
Input your current Collateral Value and Available Cash in the settings.
Set your Stress Test % (e.g., 20%) to safely discount your collateral.
Define your Risk Tolerance % (e.g., 2.0%).
Use the calculated "★Funds" value as the capital base for your position sizing (Turtle method, etc.).
Calculated Values:
Funds: Stressed Collateral+ Cash
Risk Amount (1R): Funds*Risk Tolerance %
Safety Margin: Original Collateral- Stressed Collateral
仅限邀请脚本
只有作者授权的用户才能访问此脚本。您需要申请并获得使用许可。通常情况下,付款后即可获得许可。更多详情,请按照下方作者的说明操作,或直接联系pincoro。
TradingView不建议您付费购买或使用任何脚本,除非您完全信任其作者并了解其工作原理。您也可以在我们的社区脚本找到免费的开源替代方案。
作者的说明
This script is available by invitation only. If you would like to request access, please send me a direct message on TradingView with your request. I will review and grant access as soon as possible.
免责声明
这些信息和出版物并非旨在提供,也不构成TradingView提供或认可的任何形式的财务、投资、交易或其他类型的建议或推荐。请阅读使用条款了解更多信息。
仅限邀请脚本
只有作者授权的用户才能访问此脚本。您需要申请并获得使用许可。通常情况下,付款后即可获得许可。更多详情,请按照下方作者的说明操作,或直接联系pincoro。
TradingView不建议您付费购买或使用任何脚本,除非您完全信任其作者并了解其工作原理。您也可以在我们的社区脚本找到免费的开源替代方案。
作者的说明
This script is available by invitation only. If you would like to request access, please send me a direct message on TradingView with your request. I will review and grant access as soon as possible.
免责声明
这些信息和出版物并非旨在提供,也不构成TradingView提供或认可的任何形式的财务、投资、交易或其他类型的建议或推荐。请阅读使用条款了解更多信息。