Free trading calculators to help you manage risk, calculate position sizes, analyse technical levels, and project trade performance.
Position sizing, risk-reward analysis, and ruin probability calculators to protect your capital.
Calculate the ideal position size for any trade based on your account balance, risk tolerance, and stop-loss distance. Ensure you never risk more than you can afford on a single trade.
Open calculator →Determine the correct lot size for your forex trade based on your account equity, risk percentage, and stop-loss pips. Supports standard, mini, and micro lots.
Open calculator →Calculate exact stop-loss and take-profit price levels from your entry price, position size, and desired risk/reward amounts in your account currency.
Open calculator →Calculate the risk-to-reward ratio and breakeven win rate from your entry, stop-loss, and take-profit prices. Assess whether a trade setup is worth taking.
Open calculator →Find the minimum win rate needed to break even based on your risk-to-reward ratio. Understand whether your trading strategy has a positive expectancy.
Open calculator →Simulate the probability of catastrophic account loss. Enter your win rate, risk per trade, and drawdown threshold to estimate your risk of ruin using Monte Carlo simulation.
Open calculator →Calculate the margin required for a trade and the price level where a margin call would be triggered. Understand how much the market can move against you before your broker intervenes.
Open calculator →Pip values, margin requirements, leverage, carry-trade income, and spread cost calculators.
Calculate the monetary value of a single pip movement for any currency pair and lot size. Essential for understanding the financial impact of price movements.
Open calculator →Calculate the required margin deposit to open a forex position at a given leverage level. Know exactly how much capital is locked up as collateral.
Open calculator →Compute the forward exchange rate based on the spot rate, interest rate differential, and contract duration. Calculate forward points and equivalent pips.
Open calculator →Estimate the profit or loss from a currency carry trade. Calculate daily and total interest earned based on interest rate differentials, leverage, and holding period.
Open calculator →Calculate the effective leverage ratio and total position value from your margin deposit and trade size. Understand your true market exposure.
Open calculator →Use previous close and daily volatility to calculate optimal entry, stop-loss, and multiple take-profit levels based on expected daily price ranges.
Open calculator →Calculate the spread of any currency pair in pips and as a percentage from bid and ask prices. Quickly quantify your transaction cost.
Open calculator →Calculate the cashback rebate you would receive based on trading volume and rebate rate per lot. Convert rebates into your account currency.
Open calculator →See which forex trading sessions are currently open and when they overlap. Interactive visual timeline showing Sydney, Tokyo, London, and New York sessions in your local timezone.
Open calculator →Pivot points, Fibonacci levels, Gann tools, Elliott Wave projections, VWAP, and candlestick analysis.
Calculate support and resistance pivot point levels using Floor, Woodie, Camarilla, DeMark, and Fibonacci methods from OHLC price data.
Open calculator →Calculate Elliott Wave retracement and extension levels for impulse and corrective wave patterns. Project Fibonacci-based price targets for wave analysis.
Open calculator →Compute advanced Camarilla pivot levels (H1–H6, L1–L6) from the previous session's high, low, and close. Identify intraday support/resistance zones.
Open calculator →Calculate Fibonacci retracement and extension levels for uptrend and downtrend scenarios. Get key levels at 23.6%, 38.2%, 50%, 61.8%, and more.
Open calculator →Calculate Gann Square of 9 support and resistance levels based on a market price. Project key price levels at various degree rotations (45° to 360°).
Open calculator →Calculate Gann angle-based price targets using high, low, and daily volatility. Project Gann fan lines to identify potential support and resistance levels.
Open calculator →Calculate the Volume Weighted Average Price from OHLC and volume data. Determine the average price weighted by trading volume for better trade decisions.
Open calculator →Calculate the ratio between a candlestick's body and its wicks from OHLC data. Assess candle strength and identify key patterns like dojis and hammers.
Open calculator →P&L calculations, compound growth, equity curve simulations, Monte Carlo analysis, and drawdown modelling.
Calculate profit/loss for trades with multiple take-profit targets. Set partial position closures at each level and see overall risk/reward and total P&L.
Open calculator →Calculate the profit or loss from a trade in both account currency and pips. Enter entry/exit prices, direction, and lot size for instant P&L results.
Open calculator →Simulate a random equity curve using Monte Carlo methodology. Visualize how your account balance might evolve over time given your trading parameters.
Open calculator →Project the expected return of a trading strategy over multiple trades. See balance progression based on your win rate and risk-to-reward ratio.
Open calculator →Run Monte Carlo simulations to project multiple possible equity curve outcomes. Generate best-case, worst-case, and average scenarios for strategy assessment.
Open calculator →Calculate the cumulative effect of consecutive losing trades on account equity. See how quickly compounding losses can deplete your trading account.
Open calculator →Calculate the compounding effect of reinvesting gains over multiple trading periods. See how consistent returns grow your capital exponentially over time.
Open calculator →Calculate how much percentage gain you need to recover from a loss. Understand the asymmetric nature of losses and why risk management is critical for long-term trading success.
Open calculator →Options P&L, covered calls, breakeven analysis, Black-Scholes pricing, iron condors, and vertical spreads.
Calculate profit, loss, breakeven, and return on any call or put option trade. Supports both long and short positions with standard 100-share contract multiplier.
Open calculator →Analyse a covered call strategy by calculating static and if-called returns, breakeven price, premium income, and whether shares will be assigned at expiration.
Open calculator →Find the exact breakeven price for six popular options strategies: long call, long put, bull call spread, bear put spread, long straddle, and long strangle.
Open calculator →Price a European option using the Black-Scholes model and view all five Greeks: delta, gamma, theta, vega, and rho. Separates intrinsic and extrinsic value.
Open calculator →Calculate net credit, max profit, max loss, upper and lower breakevens, profit zone width, and risk-reward ratio for any iron condor position.
Open calculator →Analyse bull call, bear put, bull put, and bear call vertical spreads. Calculate max profit, max loss, breakeven, net debit or credit, and risk-reward ratio.
Open calculator →Impermanent loss, staking rewards, DCA backtesting, and APR/APY conversion for DeFi and crypto investors.
Calculate potential losses from price divergence when providing liquidity to automated market makers like Uniswap and SushiSwap. Compare holding versus providing liquidity to see the true cost of impermanent loss at any price ratio.
Open calculator →Project staking yield based on token amount, APY, compounding frequency, and lockup period. Estimate daily, monthly, and yearly rewards to plan your staking strategy effectively.
Open calculator →Backtest dollar-cost averaging strategies against historical data. See what your portfolio would look like investing a fixed amount per week or month over any time period, compared to lump-sum investing.
Open calculator →Convert between APR and APY based on compounding frequency. Essential for comparing DeFi yields accurately across protocols that advertise rates differently.
Open calculator →Compound interest, dividend reinvestment, and FIRE calculators for long-term wealth planning.
Project future wealth from initial principal, monthly contributions, interest rate, and time horizon. Visualise how compound growth accelerates over time with interactive charts and a detailed year-by-year breakdown.
Open calculator →Model the exponential difference in returns when dividends are reinvested versus cashed out. See how dividend reinvestment compounds your share count and total return over decades.
Open calculator →Calculate your Financial Independence, Retire Early target date based on savings rate, annual expenses, and expected investment returns. Determine the exact portfolio size needed to cover your living costs indefinitely.
Open calculator →Discounted cash flow, Graham Number, and WACC calculators for intrinsic value and corporate valuation.
Project future free cash flows and discount them back to present value to find a stock's intrinsic fair value. Adjust growth rates and discount rates to model different scenarios for fundamental analysis.
Open calculator →Calculate the Graham Number using the classic formula from The Intelligent Investor. Enter earnings per share (EPS) and book value per share to find the maximum fair price a defensive investor should pay.
Open calculator →Calculate a company's Weighted Average Cost of Capital by blending the cost of equity and cost of debt weighted by capital structure. Essential as the discount rate in DCF analysis and corporate valuation.
Open calculator →Average entry price, capital gains tax estimates, and fee drag analysis for trade administration.
Calculate your exact average break-even entry price when scaling into positions at multiple price points. Add as many entries as needed to see your blended cost basis and total position size.
Open calculator →Estimate tax liability based on realised profit, holding period (short-term vs long-term), and applicable tax bracket. Plan your exits to minimise capital gains impact on net returns.
Open calculator →Model how exchange fees, broker commissions, and management fees compound over 5, 10, or 20 years. See the hidden long-term cost of seemingly small percentage fees on your portfolio.
Open calculator →Bond yield to maturity and inflation-adjusted purchasing power calculators for fixed income and macro analysis.
Calculate bond yield to maturity, current yield, and total anticipated return if held to maturity. Enter face value, coupon rate, market price, and years to maturity for a complete bond analysis.
Open calculator →Adjust historical or future returns for inflation drag. See the real purchasing power of your money over time and understand how inflation erodes nominal gains in your investment portfolio.
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