PositionsSizeCal
- Indicatori
- Noor Ghani Rahman
- Versione: 1.1
- Aggiornato: 2 marzo 2020
- Attivazioni: 5
In the financial world, risk management is the process of identification, analysis and acceptance of uncertainty in investment decisions. Essentially, risk management occurs when an investor or fund manager analyzes and attempts to quantify the potential for losses in an investment, such as a moral hazard, and then takes the appropriate action given his investment objectives and risk tolerance.
This tool should be the success key before you lost your capitals due to the unawareness of market behavior and your burden trade as
successful traders keeps themselves away from. The given risk management tools design according to methods as discuss on one of the great
web, that teach forex point by point "babypips.com"
The indicator display exactly the same value as the calculator give on the website…
The tool do not show any data, if the terminal is not connected to the internet.
The indicator automatically detect the account type whether (Standard, Mini or Micro) and show the Calculated LotSize to be trade upon that's accordingly maintaining the precision to the best risk management.
Code will freely be attach to the EA for the buyer.