18 free tools to professionalize your approach to the markets. Money management, technical analysis, statistics, and more.
Get the exact lot size based on your Stop Loss and risk %. Never calculate in your head again.
Scientifically optimize your position size to maximize the geometric growth of your account.
Calculate the probability of losing your capital based on your win rate, R:R, and risk per trade.
Visualize the % needed to recover from a drawdown. The cruel mathematics of losses.
Calculate the required margin based on leverage. Multi-asset: Forex, Crypto, Stocks, Indices.
Calculate your Stop Loss levels based on real market volatility using the Average True Range.
Plan your scale-in entries and scale-out exits. Calculate the average price and adjusted risk.
Calculate the minimum win rate needed based on your Risk:Reward ratio to be profitable.
Instantly calculate Fibonacci retracements (23.6% to 78.6%) and extensions.
5 calculation methods: Standard, Fibonacci, Camarilla, Woodie, and DeMark. Daily/Weekly/Monthly.
Correlation matrix between Forex pairs, Indices, and Crypto. Avoid overexposure.
Measure the relative strength of the 8 major currencies. Trade the strong against the weak.
Simulate 50 market scenarios to visualize your risk of ruin and expected return.
Calculate the probability of X consecutive losses or wins. Prepare yourself psychologically.
Calculate your chances of passing a Prop Firm challenge based on your Win Rate and R:R.
Visualize the power of compound interest over 20 years. The snowball effect.
Real-time world clock with London, New York, Tokyo, Sydney sessions and overlaps.
Psychological trading journal. Analyze your emotions (FOMO, Revenge) and their impact.