SmartRR Visual Planner

SmartRR Visual Planner is a high-performance utility designed to eliminate manual calculations and human error from your trading workflow. Built for speed and precision, it allows you to visually map out trades using a drag-and-drop interface while providing real-time professional risk metrics.

KEY FEATURES

1. Interactive Visual Planning

Stop guessing your levels. With one click, the tool generates three distinct, selectable lines (Entry, Stop Loss, and Take Profit) directly on your chart.

  • Seamless Drag-and-Drop: Adjust any level manually to align with market structure.
  • Real-Time Recalculation: The dashboard updates instantly (every 100ms) as you move lines, showing exactly how your reward ratio and lot size change with every pip.

2. Advanced Risk Management Suite

Unlike basic planners, SmartRR calculates professional-grade position metrics based on your specific account balance:

  • Automatic Lot Size Calculation: Instantly see the required lot size to match your target risk (e.g., $30.00).
  • Profit & Loss Projection: View your potential profit and exact risk amount in your account’s base currency.
  • Volatility Index Optimization: Special logic included for Synthetic Indices (Boom, Crash, Step, and Jump) with adjustable contract sizes.

3. Intelligent Direction Detection

The tool automatically detects whether you are planning a BUY or SELL trade based on the position of your Stop Loss relative to the Entry price.

4. Comprehensive Dashboard & Alerts

  • Live Metrics: Displays Risk-to-Reward Ratio (1:X), SL/TP distances in pips, and current Entry price.
  • Error Notifications: Built-in validation prevents invalid trade setups (e.g., SL above Entry for a Buy) with on-screen error messages.
  • Fully Customizable: Tailor the UI to your chart template—adjust colors, font sizes, dashboard positioning (Top-Left or Bottom-Left), and toggle specific metrics on or off.

  TECHNICAL SPECIFICATIONS (INPUT PARAMETERS)

Parameter

Description

Default

Line Colors

Custom colors for Entry, SL, and TP levels.

Gold / Tomato / Green

Panel Position

Choose Top-Left or Bottom-Left corner.

Top Left

Risk Amount

Your target risk in account currency.

30.0

Volatility Adjustment

Toggle specialized math for Synthetic Indices.

Enabled

Information Toggle

Show/Hide RR, Pips, Entry, Lot Size, etc.

All Enabled

Error Notifications

Visual alerts for invalid line placements.

Enabled

 

HOW TO USE

  1. Initialize: Attach the indicator to any MetaTrader 5 chart.
  2. Activate: Click anywhere on the chart. The tool will instantly place the planning lines at the current Bid price.
  3. Plan: Drag the SL (Red) and TP (Green) lines to your desired structural levels.
  4. Execute: Check the dashboard for the calculated Lot Size and Risk/Reward to ensure the trade meets your plan.
  5. Reset: To restart, simply remove the indicator or delete the lines; the tool will prompt you for a new click.

Remember Professional traders know that risk management is the only "holy grail."

ABOUT THE DEVELOPER

RAYLURKS FX specializes in high-performance trading tools designed for the modern MQL5 environment. For support, setup guides, feature requests, troubleshooting, or to explore my other trading utilities please visit my profile and send me a direct message—I am happy to assist you in optimizing your trading setup: RAYLURKS FX MQL5 Profile

 


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Institutional Flow Dashboard is a comprehensive technical analysis tool that combines two powerful methodologies: Volume Profiling and Relative Currency Strength . This all-in-one interface is designed to help traders identify high-liquidity price levels and market momentum in real-time. Key Features: Volume Profile Analysis: Visualizes the distribution of volume across price levels, identifying the Point of Control (POC) and Value Area (VA) . Multi-Currency Strength Meter: Analyses 8 major curr
TradePilot Execution Utility The Ultimate Execution & Risk Management Dashboard TradePilot Execution Utility is a high-performance trade management dashboard built specifically for professional manual traders and those undertaking Prop Firm challenges . It bridges the gap between complex risk mathematics and rapid execution, ensuring you never miss a setup or over-leverage your account. 1. Visual Risk-Based Lot Sizing Forget manual calculators. TradePilot uses your chart as the primary interface
Unmask Institutional Market Shifts with Precision Institutional Divergence Reversal Pro Most divergence indicators fail because they are "noisy"—they find every tiny curve in the market, leading to false signals. Institutional Divergence Reversal Pro is engineered to filter out retail noise and identify high-probability reversal zones where "Smart Money" is active. By combining multi-timeframe monitoring with a proprietary Quality Scoring System , this tool ensures you only focus on the setups t
Advanced Multi-Formula Pivot Points Master the Markets with Precision Support and Resistance Levels. Take your technical analysis to the next level with the Advanced Multi-Formula Pivot Points indicator. Unlike standard pivot tools, this professional-grade indicator offers a robust suite of mathematical models, including a unique Hybrid Formula that blends multiple calculation methods for unmatched market confluence. Whether you are a scalper looking for intraday reversals or a swing trader trac
OrderFlow Supply and Demand Pro: Institutional Liquidity Engine The OrderFlow Supply and Demand Pro is a high-performance analytical engine designed to pinpoint institutional footprint on your charts. By combining algorithmic price action filters with a real-time pressure engine, this tool identifies high-probability liquidity zones where large-scale market participants are likely to re-enter the market. Core Institutional Logic Our proprietary detection system filters out market "noise" by enfo
Master Your Portfolio Risk with Institutional-Grade Analysis Are you trading multiple currency pairs, gold, and indices without knowing how they move together? Correlation is the silent account killer. When assets become highly correlated, your risk doubles, and your diversification becomes an illusion. The Multi-Asset Correlation Matrix is a professional-grade decision-making dashboard designed for traders who manage complex portfolios. It doesn't just show numbers; it provides a statistical
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