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Quantity Closed represents the number of units exited from positions through sales or other closures, reflecting completed transactions.
Risk Value represents the exposure to potential loss, expressed as a monetary amount, with the environment defined by the scope. It evaluates financial risk at the transaction, trade, and portfolio levels.
Risk Percentage measures the weighted average percentage of the Account Size exposed to potential loss. It provides a precise view of risk exposure at the transaction, trade, and portfolio levels, ensuring accurate risk management.
Risk Tolerance reflects the trader’s capacity and willingness to accept risk, dynamically applied to transactions, trades, and portfolios to guide risk management.
Risk Per Share Value dynamically measures the monetary risk per unit or share, reflecting real-time exposure based on the current stop price and position size.
Risk Per Share Percentage dynamically measures the percentage risk per unit or share relative to the entry price, reflecting real-time exposure as prices and positions evolve.
Win Rate measures the percentage of successful outcomes, with the environment defined by the scope. It evaluates the effectiveness of strategies based on profit and loss at the transaction, trade, and portfolio levels.
Realized P&L reflects the profit or loss from individual closed transactions. It is calculated as the difference between entry and exit prices, multiplied by trade quantity, excluding fees.
Unrealized P&L reflects the profit or loss of individual open transactions in a trade based on current market prices. It dynamically updates with price changes, excluding fees.
Status indicates whether a transaction, trade, or portfolio is currently active (open) or finalized (closed), providing a clear view of the current state of financial activities.