This Indicator displays Entry and Exits levels. The display is done under 3 modes: - Risk/Reward mode (the one by default. It is set to a 1:1 ratio) - Multiples TP Levels - Custom Levels Click to Set entry Price on chart The displaying is static by default to make it dynamic disable the "Use custom Entry ?" input. Disclaimer: Scripts that I post publicly...
This is a simplified position size calculator in the form of a table. The reason I published this script is because all other position size calculator scripts try to provide way too much when it should be much simpler, position in strange areas of the chart and leave unwanted chart pollution. This is a bare-bones functional table that takes your risk level,...
Here is a panel where you enter the desired stop-loss price, the amount you would like to risk and it spits out what you should trade to only lose that amount if the stop-loss is hit.
We are happy to introduce the Key Performance Indicator by Detlev Matthes. This is an amazing tool to quantify the efficiency of a trading system and identify potential spots of improvement. Abstract A key performance indicator with high explanatory value for the quality of trading systems is introduced. Quality is expressed as an indicator and comprises the...
This is a script to calculate the order volume for the current symbol given your current portfolio value and how many orders you want to place. This is useful when using a strategy that places pyramiding orders and your bot won't automatically divide up your portfolio.
This script is designed to help you plan your grid trading or when averaging your position in the spot market. The script has a small error (due to the simplification of the code), it does not take into account the size of the commission. You can set any values on all parameters on any timeframe, except for the number of orders in the grid (from 2 to 5). The...
Enables users to create their own custom Stock Index with up to 29 tickers! Has included optionality to include/exclude certain sectors, plot sectors individually and measure in gold. Good for having a look at how your favorite tickers have performed (with your modification of course). Also has option to show Moving Averages for your convenience.
Plots the EPS surprise between reported and estimate. * This is a working version of the old EPS Surprise indicator here that seems to have been abandoned.
To use indicator you need to provide enter and stop prices(you can drag these lines also). Also you able to set your Account Size in USD, Risk in % and Commission you pay your broker per lot. Indicator calculates all this information and provides you with Lot Size(with commission) you need to open a position and target prices for 2R and 3R(also includes...
You can choose the symbols and their weight or normalize them at the initial price.
TTMW++ : MM BEST Friend (Normal🔒) V5.0 Developed by Stamp - To The Milky Way Plan your trade. Input the Profit target, Stoploss, and Money in Risk. This indicator calculates your Position Sizing, Risk Reward Ratio, Profit at any target, and many more. TTMW++ : MM BEST Friend (Normal🔒) V5.0 is the trial version of TTMW++ : MM BEST Friend (Premium💚) V5.0...
█ Trade & Risk Management Tool (Expo) is a sophisticated and complete trading tool that helps traders manage their position and risk. This tool makes risk and trade management simple and convenient; literally, anyone can use it. The key feature is its ability to set the stop-loss automatically. █ The key feature of this tool is that it sets the stop loss...
This script it's created to send open-close signals via webhook. It allows you to open a relative value position based in the relative graph. You can set the TP and SL levels and the script will send the signal to your exchange. Due a pine limitations it is necessary apply the script in the 2 different actives and set the alerts. You can just do the relative...
This simulating indicator proves that even if you use a simple strategy, you can reduce your risk by diversifying your investments. The strategy itself is simple.(only long) Buy when 50 days EMA crosses over 200 days EMA. Sell when 50 days EMA crosses under 200 days EMA. Or, stop loss when the asset falls by 2% (eg). Using this simple strategy on an asset is...
This version of the dashboard system factors in trading fees to your max risk to account per trade. This comes in handy when trading very low timeframes where trade risk can be tiny and leverage high where traditional position size calculations can yield huge position sizes where just the fees can far exceed your risk appetite. This system calculates your position...
the "average price calculator" is a tool that calculate the brake-even price when trading with multiple entries how it works? just copy the the entry price and size of position and the average price or brake-even price will appear on the chart if trading in both directions (buy and sell) at the same time mark the sell position as negative (-) hope you...
First of all I would like to thanks Nitish Sir for teaching us the concept of SRT, which proves to be an excellent tool for Investing. In a year, there are around 248 to 252 trading days . On dividing the same by 2 we get 124. Even 125 / 126 can be taken. We get SRT value by dividing Nifty Spot with 124 SMA value & SRT is applicable on Nifty in a Day...
Tables and labels/lines showing trade levels and risk/reward. Use to manage trade risk compared to portfolio size. Initial design optimised for tickers denominated against USD.