Risk Management Mode of Chart Trading: Difference between revisions
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Risk Management Mode of Chart Trading (view source)
Revision as of 12:36, 17 December 2021
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* Prospective Profit and Loss expressed as a percentage of Equity | * Prospective Profit and Loss expressed as a percentage of Equity | ||
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[[File:Contracts_Button.png| | [[File:Contracts_Button.png|300px]] — '''Contracts''' Button<br> | ||
[[File:$Risk to %Risk Switch.png| | [[File:$Risk to %Risk Switch.png|300px]] — '''$Risk''' to '''%Risk''' Switch<br> | ||
'''Contracts''', '''$Risk''' and '''%Risk''' fields serve to enter the trade size. They are connected to each other and to the Stop Loss and Profit Target offset. Once the value in one of the fields is changed, the others are recalculated correspondingly.<br> | '''Contracts''', '''$Risk''' and '''%Risk''' fields serve to enter the trade size. They are connected to each other and to the Stop Loss and Profit Target offset. Once the value in one of the fields is changed, the others are recalculated correspondingly.<br> | ||
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[[File:Send_order_button.png|300px]] — This button sends an order in accordance with the settings. The button contains the order direction (Buy/Sell), number of contracts, Limit/Stop price, order type (Market, Limit or Stop).<br> |