This is the part of V5 that turns a signal into a trade plan: where your stop goes, where your targets are, how big your position should be, and when to trail.
The exact math V5 runs on every signal. Change any number and watch the plan update.
Enter your Account Size and Risk per Trade % and V5 does the math on every signal: risk in cash = account × risk %, and position size = risk cash ÷ distance to stop. The result appears on the ENTRY label and in the Dashboard's Pos. Size row.
Stops are volatility-based, using ATR(14) multiplied by your profile:
Turn this on and each new signal prints five labels to the right of price: ENTRY (with position size), SL, and the 1:1, 2:1 and 3:1 take-profit levels measured from your stop distance. When price reaches a target, a ✓ TP1 / ✓ TP2 / ✓ TP3 mark prints on the chart and the matching alert fires. Levels stay on screen and extend forward until the next signal replaces them.
Enable Level Lines & R:R Shading to also draw the lines themselves plus a green profit zone and red risk zone — a built-in position tool. Line style can be solid, dashed or dotted.
On by default and independent of the static levels. Instead of fixed distances, TP 1/2/3 marks print when momentum reaches successive extremes after your entry — RSI(20) crossing 70, 75 and 80 on longs, and 30, 25 and 20 on shorts. Each level only prints once per trade and only in sequence.
Optional. The trail follows price at 2.2 × ATR(14) by default, ratcheting in your favour and never backwards. Prefer a fixed distance? Turn on Trail by % and set the percentage. A dedicated alert fires the moment the trail is hit.