Drawdown Risk Profiling
- Indicators
-
Guillermo Pineda
I'm a MQL4 and MQL5 developer with a focus on building robust, customizable trading Expert Advisors, Indicators and Scripts.
I'm actively expanding into quantitative trading and machine learning applications to optimize financial strategies. - Version: 1.10
- Activations: 10
Drawdown Distribution Analysis – Professional Risk Assessment Tool
The Drawdown Risk Profiling indicator delivers comprehensive, statistically robust risk diagnostics directly in MetaTrader 5. Designed for traders, asset managers, and quantitative analysts, this tool applies academic-grade methodologies to help you measure, interpret, and control trading risk with confidence.
Academic Foundation
This tool is built upon leading financial risk theories and empirical research, including:
-
Markowitz (1952) – Modern Portfolio Theory foundations
-
Sharpe (1966) – Risk-adjusted performance measurementChekhlov, Uryasev & Zabarankin (2005) – Drawdown optimization theory
-
Sortino & Price (1994) – Downside risk framework
-
Jorion (2007) – Value at Risk methodology
Unique Features
- Display: customize which features to see on the subwindow, either Mean or Percentile bands, or both!
- Signals: customize drawdown line to display green or red based on the fully customizable input parameters.
Whether you are a professional portfolio manager or a quantitative retail trader, this indicator transforms raw equity curve data into actionable insights, helping you make better, safer, and more profitable trading decisions.
- Platform: MetaTrader 5
- Type: Custom Indicator
- Category: Risk Management / Statistics
