AlcoCore Pip Calculator and More MT5
- Indicateurs
- Version: 11.36
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
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.
