Termos de Referência
Hello, I want you to create a risk management calculator that will have the modifications bellow.
1. It should have SL and take profit areas so the user can adjust values there.
2. The SL and TP areas should be showing the accounts balance at risk in dollars (or whatever is the accounts base currency) and in percentage how much is the user risking from his balance.
3. The user should be able to use lot sizing in the box of risk allocation and he should have the option to use specific risk percentage on each trade.
4. The user should be able to open with a button trailing stop loss and use in a box a specific amount of pips before the position starts trailing.
5. The user should be able to do anything from the above with all order types such as Buy/Sell limit and buy/sell stop.
6. The user should be able to emergency exit all open positions.
7. The user should be able to delete positions waiting for an entry.
8. The risk management calculator should be able to calculate everything from Forex to commodities, indices and individual stocks.
9. The program should have a button that users will select Day Trading/Swing Trading/Position Trading styles and according to their selection the program should be automatically adjusting Stop Loss size according to specifications I will give you.
10. The program should have a prop trader button that will give the options for the user to allocate how much DD the user has per day and in total. Once the user allocates that then the program should automatically divide by 20 his drawdown allocation and give automatically a suggested percentage allocation per trade
11. The program should have a fixed lot sizing allocation of 1.35 lots per 100.000$ account if for example the optimal risk per trade is 0.5% according to the parameter above and it should be calculated automatically according to the Drawdown allocation divided by 20 and with any other account amount the user might have.
1. It should have SL and take profit areas so the user can adjust values there.
2. The SL and TP areas should be showing the accounts balance at risk in dollars (or whatever is the accounts base currency) and in percentage how much is the user risking from his balance.
3. The user should be able to use lot sizing in the box of risk allocation and he should have the option to use specific risk percentage on each trade.
4. The user should be able to open with a button trailing stop loss and use in a box a specific amount of pips before the position starts trailing.
5. The user should be able to do anything from the above with all order types such as Buy/Sell limit and buy/sell stop.
6. The user should be able to emergency exit all open positions.
7. The user should be able to delete positions waiting for an entry.
8. The risk management calculator should be able to calculate everything from Forex to commodities, indices and individual stocks.
9. The program should have a button that users will select Day Trading/Swing Trading/Position Trading styles and according to their selection the program should be automatically adjusting Stop Loss size according to specifications I will give you.
10. The program should have a prop trader button that will give the options for the user to allocate how much DD the user has per day and in total. Once the user allocates that then the program should automatically divide by 20 his drawdown allocation and give automatically a suggested percentage allocation per trade
11. The program should have a fixed lot sizing allocation of 1.35 lots per 100.000$ account if for example the optimal risk per trade is 0.5% according to the parameter above and it should be calculated automatically according to the Drawdown allocation divided by 20 and with any other account amount the user might have.
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