المصطلحات
مسرد التداول
الأرقام والمصطلحات التي تصف Edge في التداول، مع تعريفات واضحة بلا مصطلحات معقدة وروابط إلى الأدوات التي تستخدمها.
الامتداد السعري وجودة Trade
مقدار ما حققه Trade لك، وما عرّضك له، وما تركته على الطاولة.
R-multiple
قراءة 3 دقائقAn R-multiple expresses a trade result as profit or loss measured in units of the initial risk you put at stake when you entered.
Realized vs. unrealized P&L
قراءة 3 دقائقRealized P&L is profit booked when you close a position; unrealized P&L is the open, mark-to-market gain or loss on positions still running.
Breakeven win rate
قراءة 3 دقائقThe minimum percentage of trades you need to win to break even at a given reward-to-risk ratio, before costs.
Edge والتوقع الرياضي
المقاييس التي توضح ما إذا كانت الاستراتيجية تحقق أرباحًا فعلًا.
Trading expectancy
قراءة 3 دقائقExpectancy is the average profit or loss you can expect per trade, measured across a large sample of trades rather than any single outcome.
Profit factor
قراءة 3 دقائقProfit factor is your gross profit divided by your gross loss — the total dollars your winners made against the total dollars your losers cost.
Win rate
قراءة 3 دقائقWin rate is the share of your closed trades that finished in profit, expressed as a percentage.
Average win / average loss
قراءة 3 دقائقThe payoff ratio: your mean profit per winning trade divided by your mean loss per losing trade, measuring how much winners outsize losers.
Sharpe ratio
قراءة 3 دقائقThe Sharpe ratio measures risk-adjusted return: your average excess return over the risk-free rate divided by the volatility of your returns.
المخاطر وتحديد حجم المركز
تحديد حجم كل Trade، والصمود أمام Drawdown، وحماية رأس المال.
Position sizing
قراءة 3 دقائقPosition sizing is deciding how much to trade so each position risks a controlled, predetermined slice of your account.
Kelly criterion
قراءة 3 دقائقThe Kelly criterion is the fraction of capital to bet on each trade that maximizes the long-run geometric growth rate of your account.
Maximum drawdown
قراءة 3 دقائقMaximum drawdown is the largest peak-to-trough decline in account equity over a period, measured in currency or percent.
Drawdown recovery
قراءة 3 دقائقDrawdown recovery is the percentage gain needed to climb back to a prior equity peak after a loss — and it grows faster than the loss itself.
أساسيات الأدوات
الوحدات التي يقتبس بها Broker الأسعار: Pip، واللوت، والهامش، والرافعة المالية.
Pip
قراءة 3 دقائقA pip is the standard smallest price increment quoted in a forex pair, usually the fourth decimal place (0.0001), or the second (0.01) for JPY pairs.
Lot size
قراءة 3 دقائقLot size is the standardized quantity of an instrument you buy or sell per trade unit — the block your broker measures every position in.
Margin
قراءة 3 دقائقMargin is the capital your broker requires you to post as collateral to open and hold a leveraged position.
Leverage
قراءة 3 دقائقLeverage lets you control a position larger than your deposited capital using broker margin, expressed as a ratio such as 30:1.
مصطلحات أخرى
إضافات حديثة لم تُصنَّف ضمن مجال بعد.
Hawkish vs. Dovish: What They Actually Mean
قراءة 3 دقائقTwo words carry most of the meaning in central-bank commentary. Hawkish leans toward tighter money; dovish leans toward easier money. The nuance, and the mistakes, come from what they are measured against.
How to Read a Central Bank Statement
قراءة 6 دقائقA rate decision is rarely the news. The news is what changed since the last one: the guidance, the votes, the projections, the balance sheet. This is how to read a policy statement the way desks do, by comparison.