I have made a spreadsheet for helping with the cash management. I have manually calculated the results and it seems to me the calculations is correct. But if someone would confirm that I would be greatful.
From the first sheet you pick the currency pair, enter account kind, proposed TP and SL in pips, your cash equilibrium, price and number of lots you plan to trade. The amounts for tp and stop-loss as well as the percentage of equilibrium are calculated.
There is 1 sheet called currencies that collects the latest currency worth. This must be manually upgraded. Go to DataUpdate to do this.
https://forexintuitive.com/attachmen...1782793908.xls