HEDGE FUND FX DESK RISK MANAGEMENT
지표
버전 1.0, Aug 2026
Windows, Mac
Trading product for HEDGE FUND FX DESK RISK MANAGEMENT 지표 Drawdown Monitor Imbalance, image 2
Trading product for HEDGE FUND FX DESK RISK MANAGEMENT 지표 Drawdown Monitor Imbalance, image 3
Trading product for HEDGE FUND FX DESK RISK MANAGEMENT 지표 Drawdown Monitor Imbalance, image 4
Trading product for HEDGE FUND FX DESK RISK MANAGEMENT 지표 Drawdown Monitor Imbalance, image 5
Trading product for HEDGE FUND FX DESK RISK MANAGEMENT 지표 Drawdown Monitor Imbalance, image 6
49
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설명

Welcome to the FX-DESK RISK MANAGEMENT HEATMAP. Dear Traders, after you'll have purchased this indicator, you won't be trading blind FX-PAIR CORRELATION, but instead you can all be able to have a properly managed order book of position perfectly hedged according to FX-Cross-Correlation.

See the market the way a professional FX desk does.

Most traders open positions without knowing how their instruments are statistically related. Being long EUR/USD while short USDX or USD/CHF may look like two separate trades — but it's often the same risk expressed twice. Unrecognised overlapping exposure is one of the most common reasons portfolios become over‑leveraged and "random".

FX‑DESK RISK MANAGEMENT removes that blindness. It continuously calculates cross‑correlations across your instrument set and presents them in a clear, colour‑coded heatmap, alongside a live info panel that analyses your actual open positions — so every trade you place is backed by data, not guesswork.

What you get

🔥 Live Correlation Heatmap

  • Real‑time cross‑correlation matrix for FX pairs and beyond
  • Add any CFD symbol available on your broker — indices, metals, energies, etc. The matrix is not limited to Forex
  • Intuitive colour coding: green = positive correlation, red = negative, blue/teal = weak

📊 Actionable Info Panel

  • Live account metrics computed from your open book: balance, equity, free margin, open PnL, pending orders and gross leverage
  • Currency exposure breakdown — see your true USD, GBP, CHF, AUD… exposure aggregated across all open positions
  • Concentration and leverage monitoring with desk‑style action notes (e.g. deleverage or trim concentration warnings)
  • Spread regime overview across monitored pairs

🎯 Correlation Trade Signals

  • Automatically ranks the top correlated pairs (with mean, |corr|, spread and risk metrics)
  • Generates readable long/short signal combinations (e.g. SHORT AUD/USD.P / LONG GBP/CAD.P) to help you structure hedged, statistically coherent positions

⚙️ Fully Customisable

  • Adjustable instrument list, lookback settings, thresholds and panel layout to fit your trading style

Who is it for?

  • Forex & CFD traders who want a systematic, data‑driven approach to position selection
  • Prop‑firm traders who need disciplined, repeatable risk control to protect their accounts
  • Swing traders & hedgers who want to avoid accidental double exposure

Why it matters

Knowing whether two instruments tend to move together — or in opposite directions — is fundamental to building a balanced book. FX‑DESK gives you that awareness in real time, helping you understand why the market is moving and make more informed, better‑hedged trading decisions.

Important Information

FX‑DESK RISK MANAGEMENT is an analytics and decision‑support tool. It does not place trades automatically and does not guarantee profits. Correlation values are statistical estimates based on historical data and may change without notice. Trading Forex and CFDs involves significant risk of loss and may not be suitable for all investors. Always apply sound risk management


요약

지표 프로필
지표 카테고리
통계
출력 유형
시각화
신호
데이터 요구 사항
막대만
지원되는 신호
크로스
다이버전스
반전
추세 강도

고객 리뷰

0.0
리뷰: 0
고객 리뷰
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상담

자주 묻는 질문(FAQ)

Drawdown Monitor
Imbalance
Market Structure
Risk Dashboard
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가격

49
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306
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