AlgoCore Pip Calculator and More

MORE THAN A PIP/POINTS CALCULATOR


AlgoCore Calculator is a complete position sizing, growth, performance, movement-value and basket-analysis workspace for MetaTrader. It reads live account, symbol and broker data but does not open, modify or close trades.

    • 23 individual calculation functions
    • 39 types of calculated outputs
    • 4 organized calculation panels

WHAT IT COVERS
    • Works with Forex, metals, indices, commodities and other broker-supported CFD instruments.
    • Reads live account, symbol, tick, contract and broker-volume specifications automatically.
    • Supports percentage-based or fixed-money risk, LONG/SHORT planning and draggable SL/TP lines.
    • Provides separate PROJECTION and PERFORMANCE views.
    • Summarizes open positions and protection for the current symbol without trading operations.
    • Uses collapsible panels and a movable compact interface to preserve chart space.

THE 23 CALCULATION FUNCTIONS

1. Universal Position Size Calculation - Calculates a risk-based position size from account balance, the selected risk input and Stop Loss distance.
2. Risk Input Conversion - Accepts risk as either a percentage of account balance or a fixed amount in the account currency.
3. Broker-Valid Lot Normalization - Adjusts the raw lot result to the broker's minimum lot, maximum lot and volume step.
4. Risk and Reward Analysis - Calculates monetary risk, potential reward and the Risk/Reward Ratio for the planned trade.
5. Stop Loss Distance Analysis - Calculates the loss at Stop Loss for 1.00 lot and the maximum Stop Loss available at the broker's minimum lot.
6. Interactive SL/TP Planning - Provides optional draggable Stop Loss and Take Profit lines for LONG and SHORT planning.
7. Compound Growth Projection - Projects Final Balance, Total Profit, Total Return and Growth Factor over a configurable number of periods.
8. Target Planner - Required Periods - Calculates how many periods are needed to reach a target balance at a known return per period.
9. Target Planner - Required Return - Calculates the return per period required to reach a target balance in a known number of periods.
10. OPEN - CLOSE Result - Calculates Profit and Profit % from editable Opening Amount and Closing Amount values.
11. CLOSE - CHANGE Reconstruction - Calculates Opening Amount and Change % from editable Closing Amount and Change Amount values.
12. Live Daily Result - Automatically calculates Daily Opening Equity, Daily Profit and Daily Profit % from live account and history data.
13. Broker Point Value - Calculates the account-currency value of one broker point at 1.00 lot.
14. Pip or Price Unit Value - Calculates the account-currency value of one pip for Forex or one price unit for other instruments at 1.00 lot.
15. Movement Value Calculator - Calculates the value of a user-defined movement for a selected lot size and movement unit.
16. Gross Price P/L - Calculates gross BUY or SELL profit/loss from Start Price, Close Price and Lot Size, excluding commission and swap.
17. Basket Position Summary - Counts open positions and separates BUY/SELL position and lot totals for the current symbol.
18. Basket Net Exposure - Calculates signed net lot exposure and identifies net-long, net-short or fully hedged status.
19. Current Basket Result - Aggregates the current profit/loss and applicable costs of the current-symbol basket.
20. Estimated Basket Break-Even - Calculates the estimated common break-even price when the basket has a unique net direction.
21. Common Basket Stop Loss Target - Calculates a common basket SL price from a user-defined account-currency loss amount.
22. Common Basket Take Profit Target - Calculates a common basket TP price from a user-defined account-currency profit amount.
23. Order Protection and Planned-Line Analysis - Evaluates results at existing SL/TP levels, counts missing protection and calculates results at the planned SL/TP lines.

THE 39 TYPES OF CALCULATED OUTPUTS

The count below includes calculated results shown by the interface. Five displayed broker reference fields are listed separately and are not counted as calculated outputs.


UNIVERSAL POSITION SIZE CALCULATION

1. Broker-Valid Lot - Tradable lot size after broker minimum, maximum and step rules.
2. Risk Amount - Planned monetary loss at the selected Stop Loss.
3. Potential Reward - Planned monetary gain at the selected Take Profit.
4. Risk / Reward Ratio - Relationship between planned risk and planned reward.
5. Loss at SL for 1.00 Lot - Monetary Stop Loss impact before position-size scaling.
6. Raw Calculated Lot - Unrounded mathematical position-size result.
7. Max SL at Broker Minimum - Largest Stop Loss compatible with the chosen risk at minimum lot.
8. Actual Risk after Rounding - Final monetary risk after broker-valid lot adjustment.

GROWTH & PERFORMANCE

9. Final Balance - Projected balance after compounding.
10. Total Profit - Projected profit amount over all periods.
11. Total Return - Projected cumulative percentage return.
12. Growth Factor - Final-to-starting balance multiplier.
13. Required Periods - Periods needed to reach the selected target.
14. Required Return / Period - Periodic return needed to reach the target.
15. OPEN - CLOSE Profit - Difference between closing and opening amounts.
16. OPEN - CLOSE Profit % - Profit relative to the opening amount.
17. CLOSE - CHANGE Opening Amount - Reconstructed opening amount from closing amount and change.
18. CLOSE - CHANGE Change % - Change amount relative to the reconstructed opening amount.
19. Daily Opening Equity - Automatically derived opening equity for the current trading day.
20. Daily Profit - Current day's closed result plus floating account result.
21. Daily Profit % - Daily Profit relative to Daily Opening Equity.

POINT & PIP VALUE

22. 1 Broker Point Value - Account-currency value of one broker point at 1.00 lot.
23. 1 Pip / Price Unit Value - Value of one pip or one price unit at 1.00 lot.
24. Movement Value - Value of the selected movement at the selected lot size.
25. Gross Price P/L - Gross BUY/SELL result between two prices.

BASKET SUMMARY

26. Open Positions - Number of open positions for the current symbol.
27. BUY / SELL Positions - Separate BUY and SELL position counts.
28. BUY / SELL Lots - Separate BUY and SELL volume totals.
29. Net Exposure - Signed net position volume.
30. Current Result - Aggregated current basket result.
31. Basket Status - No positions, net long, net short or fully hedged.
32. Estimated Basket Break-Even - Common estimated break-even price.
33. Basket SL Price - Common SL price for the selected loss target.
34. Basket TP Price - Common TP price for the selected profit target.
35. Result at Existing SLs - Estimated combined result at current Stop Loss levels.
36. Result at Existing TPs - Estimated combined result at current Take Profit levels.
37. Missing SL / TP - Counts positions without SL and without TP.
38. Result at Planned SL Line - Estimated result at the draggable planned SL line.
39. Result at Planned TP Line - Estimated result at the draggable planned TP line.

DISPLAYED BROKER REFERENCE DATA - NOT INCLUDED IN THE 39

  • Broker Point Size
  • Tick Size
  • Contract Size / 1 Lot
  • Price Unit Size
  • Broker Points / Unit or Pip

PANEL ORGANIZATION

Panel #1 - Universal Position Size Calculation - position size, Stop Loss, Take Profit, monetary risk/reward and broker-valid volume.
Panel #2 - Growth & Performance - compound projection, target planning, OPEN - CLOSE, CLOSE - CHANGE and LIVE DAILY RESULT.
Panel #3 - Point & Pip Value - broker references, point/pip/unit values, movement value and gross price P/L.
Panel #4 - Basket Summary - current-symbol exposure, common basket targets, existing protection and planned-line results.

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Or (TDO)  which is an index that measures the price rate of change using the principle of " Pure Momentum ". When a security price advances from 10 to 15 then the price rate of change is 150% but when it declines back from 15 to 10 then the price rate of change is 33.3% only. That is why technical analysis indicators like "Price Rate of Change" (ROC) or "Momentum" give higher readings for ascending price movements than those given to descending ones. TDO fixes this problem to help traders at rea
Neuro Poseidon MT4
Daria Rezueva
4.74 (46)
Neuro Poseidon is a new indicator by Daria Rezueva. It combines precise trading signals with adaptive TP/SL levels - creating best possible trades as a result! Message me and get  Neuro Poseidon Assistant  as a gift to automize your trading process! What makes it stand out? 1. Proven profitability on all assets and timeframes 2. Only confirmed BUY and SELL signals present on the chart 3. Adaptive TP & SL levels generated by the software for each trade 4. Easy to understand - suitable for all
Pro Trend Scanner
Nikolay Georgiev
5 (1)
Update: Push to mobile notification is now added as optinal in the settings. Most traders fail to generate profit because of the lack of so-called filters and scanners. If you want to win at trading you need a solid system and also a filtering tool for some or all of your entry criteria. It is impossible to follow 24 currency pairs, all the indices, stocks and commodities without a filtering tool. Imagine you can get an email any time CCI crosses bellow 100 and 0 when the price is bellow MA5 an
Dark Support Resistance  is an Indicator for intraday trading. This Indicator is programmed to identify  Support and Resistance Lines , providing a high level of accuracy and reliability. Key benefits Easily visible lines Only the most important levels will be displayed Automated adjustment for each timeframe and instrument Easy to use even for beginners Never repaints, never backpaints, Not Lag 100% compatible with Expert Advisor development All types of alerts available: Pop-up, Email, Push
Top Bottom Tracker is an indicator based on sophisticated algorithms that analyse the market trend and can detect the highs and lows of the trend / MT5 version . The price will progressively increase until it reaches 500$. Next price --> $99 Features No repainting This indicator does not change its values when new data arrives Trading pairs All forex pairs Timeframe     All timeframes Parameters ==== Indicator configuration ==== Configuration parameter // 40 (The higher the value, the
UPD1 Volume BOX
Vitaliy Kuznetsov
4.94 (16)
The indicator displays the horizontal volume profile in the specified area (BOX) and the maximum volume (POC). Product Features. 1. You can use ticks or just price. 2. Adaptive grid spacing (M1-MN). 3. Adaptive high volume (median) search step depending on box size. 4. Automatic chameleon color for box lines and buttons. 5. Multiple boxes, easy to create and delete. 6. 70% volume area (enable in settings). 7. There is an alert for touching the maximum horizontal volume line (POC). 8. VWAP. 9. C
TrendLine PRO MT4
Evgenii Aksenov
4.83 (168)
The Trend Line PRO indicator is an independent trading strategy. It shows the trend change, the entry point to the transaction, as well as automatically calculates three levels of Take Profit and Stop Loss protection. Trend Line PRO is perfect for all Meta Trader symbols: currencies, metals, cryptocurrencies, stocks and indices. The indicator is used in trading on real accounts, which confirms the reliability of the strategy. Robots using   Trend Line PRO   and real Signals can be found here:   
This indicator presents an alternative approach to identify Market Structure. The logic used is derived from learning material created by   DaveTeaches (on X) Upgrade v1.10: add option to put protected high/low value to buffer (figure 11, 12) When quantifying Market Structure, it is common to use fractal highs and lows to identify "significant" swing pivots. When price closes through these pivots, we may identify a Market Structure Shift (MSS) for reversals or a Break of Structure (BOS) for co
PZ Trend Trading
PZ TRADING SLU
4.8 (5)
Capture every opportunity: your go-to indicator for profitable trend trading Trend Trading is an indicator designed to profit as much as possible from trends taking place in the market, by timing pullbacks and breakouts. It finds trading opportunities by analyzing what the price is doing during established trends. [ Installation Guide | Update Guide | Troubleshooting | FAQ | All Products ] Trade financial markets with confidence and efficiency Profit from established trends without getting whips
This dashboard shows the latest available harmonic patterns for the selected symbols, so you will save time and be more efficient / MT5 version . Free Indicator:   Basic Harmonic Pattern Comparison of "Basic Harmonic Pattern" vs. "Basic Harmonic Patterns Dashboard" Indicators Feature Basic Harmonic Pattern Basic Harmonic Patterns Dashboard Functionality Detects and displays harmonic patterns on a single chart Searches multiple symbols and timeframes for harmonic patterns, displays results on
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MORE THAN A PIP/POINTS CALCULATOR AlgoCore Calculator is a complete position sizing, growth, performance, movement-value and basket-analysis workspace for MetaTrader. It reads live account, symbol and broker data but does not open, modify or close trades. 23 individual calculation functions 39 types of calculated outputs 4 organized calculation panels WHAT IT COVERS Works with Forex, metals, indices, commodities and other broker-supported CFD instruments. Reads live account, symbol, tick,
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