Check the Picture File i will sent.
Mode 1: (Calculate Risk from multiple LIMIT and open MARKET ORDERS)
There is a button(CALC.SL OF ALL ORDERS) which has to be clicked on to set 1 HORIZONTAL Line as the Main STOPLOSS
It checks all open MARKET Orders and BUYLIMIT Orders with their LOT-Size and calculates the Money i will lose, if price hits the
SET Main Stoploss under the Market and Buylimit orders.
The same goes for Short Market and SELLLIMIT orders with the HORIZONTAL Line placed ABOVE the actual (+2000pips) MarketPrice.
A OBJECT LabelText with adjustable FontSize shows the amount of Money i will lose if the given Main STOPLOSS Line would be touched by price.
Maybe it gives an error message, if there are no open orders.
Mode 2: (Calculate Risk from 1 Order)
There is a Button (POS: 5.0) which opens a "+" and with a "-" sign next to it when clicked. To adjust the Lot Size for 1 Order.
Possible Lot sizes: 1.0, 2.0, 3.0, 4.0, 5.0, 6.0, 7.0, 8.0, 9.0, 10.0, 11.0, 12.0, 13.0, 14.0, 15.0, 16.0, 17.0, 18.0, 19.0, 20.0
The Button below is the "CALC.SL OF 1 ORDER" which works the same way as above. SET a HORIZONTAL LINE above price or below price
and it calculates the amount if Risk in % and the AMOUNT of MONEY at risk.
You have to make the calculation ready because it is a CFD not a FOREX Pair.
1.0 Lot is the minimum which i can buy or sell at the SP500. The size per pip has to be calculated correctly to give
me the exact amount of risk shown in orange next to the Button Panel.
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