Position Sizing Tool

Precise lot size, R:R ratio, and drawdown impact for professional risk management.

LONG TRADE

Asset Type

Account Settings

$

Your total trading capital

%= $100.00 at risk

Trade Levels

Your planned entry point

Maximum loss price level

Target price level

Position Size (lots)

0.20

lots

Dollar Risk

$100.00

1% of account

Risk:Reward

1:2.00

at current TP

Potential Profit

$200.00

if TP is hit

Breakeven Win %

33.3%

min win rate needed

Stop Distance

50.0

pips

Trade Layout

SL1.08000
Entry1.08500
TP1.09500
Risk: $100.00R:R 1:2.00Reward: $200.00

R:R Scenario Table

RatioTake ProfitProfit ($)Min Win %
1:11.09000+$100.0050.0%
1:1.51.09250+$150.0040.0%
1:21.09500+$200.0033.3%
1:2.51.09750+$250.0028.6%
1:31.10000+$300.0025.0%
1:41.10500+$400.0020.0%
1:51.11000+$500.0016.7%

Trading & Investing Disclaimer

The stock market goes up and down in cycles. This means the value of your investments can rise or fall at any time. By using our platform, you understand that all trading and investing involves risk, including the possible loss of some or all of your money. We do not guarantee profits, returns, or investment success. Any information provided on this platform is for educational and informational purposes only. We are not financial advisors, and we do not provide financial, investment, legal, or tax advice. You are responsible for making your own investment decisions. By investing or trading, you accept all risks involved and agree that we are not responsible for any losses, damages, or financial outcomes that may occur. Only invest money that you can afford to lose.