I'm researching a risk-management tool for MT5 traders and would like to understand how traders currently monitor their risk.
How do you currently track things like daily drawdown, maximum drawdown, lot size, P&L and number of trades?
Do you use an EA, spreadsheet, calculator, or another tool?
What is the biggest limitation of your current method?
How do you currently track things like daily drawdown, maximum drawdown, lot size, P&L and number of trades?
Do you use an EA, spreadsheet, calculator, or another tool?
What is the biggest limitation of your current method?