DD Monitor
- Yardımcı programlar
- Ridhdi Patel
- Sürüm: 5.0
Account DD Monitor – Professional Drawdown Tracker for MetaTrader 5
Track your trading risk with precision!
Max DD, Avg DD, and live Float DD – with flexible date range filtering.
if you like this please let me know ,and want to perform any experiment related to trading let me know.
🎯 Overview
Account DD Monitor is a powerful visual indicator that displays key drawdown statistics directly on your chart. It helps you understand your trading performance, manage risk, and maintain discipline by showing historical maximum drawdown, average drawdown, and real‑time floating drawdown – all in a clean, customisable panel.
Unlike standard terminal reports, this indicator lets you choose exactly which period to analyse: from the moment you attach it, from the start of your account history, or any predefined lookback (3 days, 1 week, 1 month, etc.). This flexibility makes it ideal for both long‑term performance reviews and short‑term risk assessment.
🔥 Key Features
| Feature | Description |
|---|---|
| Date Range Filter | Choose from 7 predefined ranges: From Attach (default), All History, Last 3 Days, Last Week, Last Month, Last 3 Months, Last 6 Months. |
| From‑Attach Default | Automatically starts tracking from the moment you attach the indicator – perfect for monitoring a new strategy or trading session. |
| Maximum Drawdown (Max DD) | Shows the deepest equity drop during the selected period, both in currency and percentage. |
| Average Drawdown (Avg DD) | Calculates the average of all drawdowns (peak‑to‑trough declines), giving you a realistic sense of typical risk. |
| Live Floating Drawdown | Always displays the current equity drawdown in real time – never filtered by date, so you always see the current risk. |
| Balance & Equity | Shows current account balance and equity with colour coding (green when equity ≥ balance). |
| Fully Customisable Panel | Choose background colour, border, text colours, font size, position (corner), and X/Y offsets. |
| Non‑Repainting | All historical data is static; the panel updates only when new deals occur or on the timer refresh. |
| Lightweight & Efficient | Uses minimal CPU, refreshes every few seconds (user‑defined) to keep live numbers accurate. |
⚙️ How It Works
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Historical Data Analysis
The indicator scans all closed trades (deal history) within your chosen date range. It reconstructs the equity curve (balance + realised profit/loss) and identifies every peak‑to‑trough decline. -
Drawdown Metrics
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Max DD: the single largest percentage/currency decline from a previous peak.
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Avg DD: the average of all drawdowns – useful for estimating typical risk per trade.
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Float DD: current equity drawdown relative to account balance (updated every tick).
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Visual Display
All information is presented in a semi‑transparent panel (customisable colours) that stays on top of all chart objects. The panel shows:-
Balance & Equity (with live colour change)
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Max DD (currency + %)
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Avg DD (currency + %) and number of drawdown events
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Live Float DD (currency + %) or "✔ None (Clean)"
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Date range label with exact start time
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