RightRisk

Trade setup
Instrument

The market you analyse. Search is powered by Twelve Data.

Direct = same asset/price. Tracker = product follows the underlying with leverage.

Long means you buy the product. Short means you sell/short it.

Currency used to display monetary results.

Account & risk
$

Your total balance used for risk sizing.

Percent of account you'll lose if stopped out.

Entry & stop
$

Price of the instrument you actually buy/sell.

$

Price of the tracked market at entry, e.g. spot gold.

Enter an exact stop price, or a percentage move from entry (placed on your losing side automatically).

$

Your invalidation level on the underlying market.

Long tracker rises when underlying rises. Short/inverse rises when it falls.

Leverage & target

1 = unleveraged, 3 = 3×. Used for margin and tracker estimates.

2 means target profit is twice your risk amount.

Optional notes saved with the trade.

Calculated results
Ready
Risk amount$100.00
Position size133.33333333 units
Position value / capital needed$1,600.00
Underlying exposure$4,800.00
Potential profit$200.00
Take-profit sell price$13.50
Take-profit move12.50%
Estimated product stop$11.25
Product stop move-6.25%
Underlying take-profit price$2,300.00
Underlying stop move2.08%