Crypto Risk Buddy - Lite Position Size, Stop Loss & Take Profit System The ultimate system to calculate trading risk on crypto assets. The 'Lite' version is limited to BTC as base currency. ₿ Cyptocurrencies Position Sizing De-risk possible drawdown by calculating a proper position size. Define your risk percent based on your net value Freely...
Crypto Risk Buddy Position Size, Stop Loss & Take Profit System The ultimate system to calculate trading risk on crypto assets. ₿ Cyptocurrencies Position Sizing De-risk possible drawdown by calculating a proper position size. Define your risk percent based on your net value Freely define your account currency Trade any asset by the...
By providing Entry Price (EP), Cut Loss level (CL), Take Profit Level(TP) and Risk (Amount of money willing to lose), this calculator will automatically suggest the capital you should allocate according to risk and amount of unit.
Uber Risk Buddy Position Size, Stop Loss & Take Profit System The ultimate system to calculate trading risk on any asset e.g.: 💰 Futures ₿ Cyptocurrencies 💵 Forex 📈 Stocks 📉 Fund 🗂️ Indices Position Sizing De-risk possible drawdown by calculating a proper position size: Define your risk percent based on your net value Freely define...
Annualised Price Volatility in percent, also called Instrument Risk, as outlined by Rob Carver in his excellent books, 'Systematic Trading' and 'Leveraged Trading'. This is written for those who have read one of his books and want to use this tool on TradingView. Trend strength, oscillators, and volume indicators are all the rage. Finding a great setup is, of...
This uses a Rescaled Range from Benoit Mandelbrot's Misbehavior of Markets to devise a Risk Range on stocks. A trading position can be managed by selling portions at the top of the risk range and selling at the bottom of the risk range. The Length parameter defines how wide the range is and how frequently the price will reach the range bands. The Vol Length...
The Volatility Trade Indicator signals bullish / bearish trend based on the volatility of the underlying asset. During bull markets, volatility is typically low and price moves occur slowly and steadily. During bear markets, volatility is typically high and price movement is much more volatile in both directions. The Volatility Trade Indicator measures the...
This indicator helps the trader to calculate the size of the buy or sell in relation to the accepted risk. The calculation includes the risk and the fees paid for the purchase, sale or stop. The trader needs to enter his capital, the risk accepted in the trade and the fees charged by the broker. Inform the entry price and your stop loss . You can change to...
Just a simple risk reward calculator to help indicate the R:R levels of your risk on a trade. The drawing tool doesn't have multiple R capabilities.
Visualize the floating R:R of an active position. Input the stop loss and target to return live R:R
Inspired by the article "2020's Best Performing Hedge Fund Warns Of 'Incredible Move' Around The Election" from ZeroHedge: This script explores the relationship and attempts to find dislocation between equity risk (VIX) and high-yield corporate debt risk (VXHYG, The Cboe VXHYG Index is an estimate of the expected 30-day volatility of the return on iShares' High...
Calculates how many lots (100) you should buy/sell for any given bar with a fixed risk in USD and shows if Long (L), Short (S) or wait (w) with a label. Requires max loss per week, trading days per day and lossing trading per day.
Level: 1 Background Risk assessment is a general term used in many industries to determine the likelihood of losing an asset, loan, or investment. Risk assessment is important in determining how profitable a particular investment is and which techniques are best for risk mitigation. It shows the upward reward versus the risk profile. Risk assessment is important...
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...
This indicator creates risk ranges using implied volatility (VIX) or historical volatility, skewness ( Cboe SKEW or estimate ) and kurtosis.
This indictor creates daily Risk Ranges using historical volatility, volatility skew and vol-of-vol.
A strategy version of the Buy/Sell/TP/SL/TSL Alerts Module . It works the same way: 1) You choose a specific indicator and apply it to your chart 2) You create a special signal form of that indicator 3) You connect that form to the module 4) Bob's your uncle If you have any questions don't hesitate to ask and contact me either via private messages on...
Hello there, I am glad to bring you another simple and efficient algorithm. Its made purely from RSI which can be used directly or inversed. Its suited for swing trading 15 min chart or more minimum. Can be adapted to all types of financial markets. Rules for entry are easy : First we have the stop loss and take profits levels. Based on SL , we have the risk %...