Глоссарий
Торговый глоссарий
Числа и термины, описывающие торговый Edge, определены без жаргона и связаны ссылками с инструментами, которые их используют.
Отклонение и качество Trade
Сколько Trade принёс вам, чем угрожал и что осталось нереализованным.
R-multiple
3 мин чтенияAn 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
3 мин чтенияRealized 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
3 мин чтенияThe minimum percentage of trades you need to win to break even at a given reward-to-risk ratio, before costs.
Edge и ожидаемость
Метрики, показывающие, приносит ли стратегия реальную прибыль.
Trading expectancy
3 мин чтенияExpectancy 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
3 мин чтенияProfit 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
3 мин чтенияWin rate is the share of your closed trades that finished in profit, expressed as a percentage.
Average win / average loss
3 мин чтенияThe payoff ratio: your mean profit per winning trade divided by your mean loss per losing trade, measuring how much winners outsize losers.
Sharpe ratio
3 мин чтенияThe Sharpe ratio measures risk-adjusted return: your average excess return over the risk-free rate divided by the volatility of your returns.
Риск и размер позиции
Определение размера каждого Trade, переживание Drawdown и защита капитала.
Position sizing
3 мин чтенияPosition sizing is deciding how much to trade so each position risks a controlled, predetermined slice of your account.
Kelly criterion
3 мин чтенияThe 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
3 мин чтенияMaximum drawdown is the largest peak-to-trough decline in account equity over a period, measured in currency or percent.
Drawdown recovery
3 мин чтенияDrawdown 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.
Основы инструментов
Единицы, в которых Broker указывает цены: Pip, лоты, маржа и кредитное плечо.
Pip
3 мин чтенияA 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
3 мин чтенияLot size is the standardized quantity of an instrument you buy or sell per trade unit — the block your broker measures every position in.
Margin
3 мин чтенияMargin is the capital your broker requires you to post as collateral to open and hold a leveraged position.
Leverage
3 мин чтенияLeverage lets you control a position larger than your deposited capital using broker margin, expressed as a ratio such as 30:1.
Другие термины
Недавние добавления, ещё не распределённые по разделам.
Hawkish vs. Dovish: What They Actually Mean
3 мин чтенияTwo 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
6 мин чтенияA 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.