Writing A Trade Class For Auto Lot Calculation, Risk Management, and Martingale

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I need help writing and understanding the calculations for a trade class that auto manages lot sizes, stop loss, and take profit based on the balance, risk, also taking margin into account.

I have a working version of the class but I need to understand the calculations and make sure they are correct.

I am hoping you can explain the calculations and help to implement dynamic calculations for stop loss and take profit based on the balance, risk, and margin.

Currently, the class has a lot of extra methods that I am not sure about. There are some methods that are probably not needed and there are some that are correct and might help.

I am hoping you can help me to simplify the class and make sure the calculations are correct.

This will be a re-usable class for all my trading bots and I want to make sure it is as simple and flexible as possible, as well as automatically calculating necessary values.

Hoping we can go over it together and I can learn a lot in the process.

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