Plan stop distance, R multiples, target levels, partial exits, and break-even context before entering a trade.
Check whether your targets compensate for the stop distance before the trade starts.
$6.00 per share/unit.
$960.00 planned P/L at 112.
$1,920.00 planned P/L at 124.
$2,880.00 planned P/L at 136.
Stop Loss / Take Profit Planner is a focused trading utility for this task: Plan stop distance, R multiples, target levels, partial exits, and break-even context before entering a trade.
Use it to turn a trade idea into explicit numbers, invalidation levels, exposure limits, and next-step notes before committing capital.
A: No. It calculates the risk and reward around levels you provide so you can review the plan.
A: R is the amount you risk per share or contract. A 2R target is twice the initial risk distance from entry.
Calculate shares, position value, account exposure, and max loss from account size, risk percent, entry, and stop.
Calculate risk/reward ratio, target multiple, win-rate break-even, and dollar risk for a trade plan.
Calculate volatility-based stop levels from ATR, multiplier, entry price, and trade direction.
Calculate shares, position value, account exposure, and max loss from account size, risk percent, entry, and stop.
Convert a portfolio drawdown into the gain needed to get back to break-even.
Calculate risk/reward ratio, target multiple, win-rate break-even, and dollar risk for a trade plan.
Calculate volatility-based stop levels from ATR, multiplier, entry price, and trade direction.
Measure distance to 3-month, 6-month, and 52-week highs to classify breakout proximity and relative strength.
Review position weights, stop distances, risk per holding, concentration, and total planned risk exposure.
Privacy: This tool runs entirely in your browser. No data is sent to our servers. We don't store, share, or have access to any of the information you process here.