Risk Monitor indicator monitors a risk level for each open position in particular and for all positions in general. The data is displayed on the panel.
24 positions can be monitored in total.
"Symbol" column lists the open positions' symbols.
"Risk" column displays a risk level in absolute and relative values (balance share).
"Post balance" – balance value, in case a position is closed with a loss.
A gross risk level in absolute and relative values (balance share) is displayed in "Risk Total" line.
Comments on the calculation:
- If SL is in the positive zone, a tick price is calculated as SYMBOL_TRADE_TICK_VALUE_PROFIT, otherwise, it is calculated as SYMBOL_TRADE_TICK_VALUE_LOSS;
- Swaps are considered.
- "Risk" column values can be displayed in different colors. A price depends on the relation between Stop Loss and normal values. Detailed information is provided in the custom parameters table.
| 1||Risk rate (%)|
| 2||Color1: unlimited risk|
| 3||Color2: greater risk|
| 4||Color3: normal risk|
| 5||Color4: smaller risk|
| 6||Color5: zero risk|
| 7|| Color6: positive risk|
| 8||Panel color|
| 9||Color for "Symbol"|
| 10||Color for symbols|
| 11||Color for "Risk"|
| 12||Color for balance|
| 13||Color for dot-lines|
|14|| X offset||int||20|