for example,the initial balance = 10,000
the risk money = 10,000* 0.02 = 200, this means the max loss money is 200.
but the loss money is up to 500. this Risk management does not work.
why?
sorry. I made a mistake.
the risk management works.
except what you have is bogus.
Max Risk is open price-initial stop loss. Max Risk To Account = Max Risk * lot size * price per point. You set a stop loss of 100 pips and open 0.02 lots, your risking $20 plus spread. Look at a real money management
Also every time you refresh the chart or change periods or pairs, etc. you go through an deinit/init cycle and InitialBalance gets changed.
You are missing trading opportunities:
- Free trading apps
- Over 8,000 signals for copying
- Economic news for exploring financial markets
Registration
Log in
You agree to website policy and terms of use
If you do not have an account, please register