First set the deposit and goal → then risk and number of trades.
Input Data
Initial deposit, target/yield, timeframe, and instrument.
Calculation Results
Yield for period, per day and per trade, as well as the basic deposit plan.
Deposit at end of period
—
considering goal and withdrawal/addition
Yield at end of period
—
relative to initial deposit
Min. yield per day
—
rate evenly distributed across days
Yield per trade —
Deposit target —
Risk plan (% per trade) —
Trades per day plan —
Recommended volume (lots) —
Required points per trade —