Trade Journal Tool

Trade Journal Pro
Take full control of your trading performance. Log Spot and Futures trades with live prices, calculate your ideal position size, and visualize your equity curve — no account, no login, no fees.
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Used across all calculations
Balance
$0
Spot PnL
$0
Futures PnL
$0
Floating
$0
Equity
$0
Market Type
◈ SPOT
◆ FUTURES
BUY
Select tags…
v
Strategy
SMC Breakout FVG Retest Scalp Supply/Demand HTF Trend
Psychology
Disciplined FOMO Revenge Patient Overtraded
Chart Screenshot
📸 Click to upload screenshot
Open Trades
Closed Trades
All
◈ Spot
◆ Futures
Daily Session Guard - auto-tracks today's PnL
Set a profit target to know when to stop and lock in gains, and a max loss limit to protect your account. The bar updates live as you trade.
Stop when profit reaches (%)
Stop when loss reaches (%)
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🎯
Risk Calculator - How it works
Calculates the correct position size based on how much you are willing to risk per trade - not a fixed dollar amount. This protects your account from large losses on any single trade.
1
Set your Account Balance and Risk % (e.g. 1% = risk $100 on a $10,000 account)
2
Enter your Entry Price and Stop Loss - the calculator measures the distance between them
3
Get your exact Position Size $ and Qty - then hit Use These Values in Journal
Never risk more than 1-2% per trade Leverage increases position size, not your risk $ R:R Visualizer shows if the trade is worth taking

Position Size Calculator

Max Risk $-
SL Distance %-
Position Size $-
Qty (Units)-
Margin Required $-
What do these numbers mean? v
Max Risk $ Both
The actual dollar amount you will lose from your account if the trade hits Stop Loss. Calculated as: Balance x Risk %. This is your real maximum loss per trade.
SL Distance % Both
How far your Stop Loss is from your Entry Price, expressed as a percentage. A smaller distance means a tighter stop — tighter SL = larger position size for the same risk amount.
Position Size $ Both
The total value of the trade you should open. Calculated to ensure you never lose more than your Max Risk if SL is hit. Formula: (Max Risk / SL%) x Leverage.
Margin Required $ Both
The actual cash that must be in your wallet to open this trade.
Spot (1x): Margin = Position Size. You need the full amount in cash — no borrowing.
Futures (10x): Margin = Position Size / 10. The exchange lends you the rest. Example: $195 position only needs $19.5 cash.
If Margin Required is greater than your Balance (Spot only): You cannot open this trade in real life. Solution: lower your Risk %, or move SL closer to Entry to reduce position size.

Risk : Reward Visualizer

RiskReward
Risk %-
Reward %-
R:R Ratio-
Min Win Rate-
Smart Analysis
What do these numbers mean? v
Risk %
How far your Stop Loss is from your Entry, as a percentage of the entry price. Example: Entry $65,000 / SL $63,700 = 2% risk distance. The smaller this number, the tighter your stop.
Reward %
How far your Take Profit is from your Entry, as a percentage. Example: Entry $65,000 / TP $68,500 = 5.38% reward distance. The larger this number relative to Risk %, the better your setup.
R:R Ratio
Risk to Reward ratio — always shown as 1 : X, where 1 is your risk and X is your potential reward.
1 : 0.5 — Poor. You risk $2 to gain $1. Avoid unless win rate is very high.
1 : 1.5 — Acceptable. You risk $1 to gain $1.50.
1 : 2.0+ — Good. Even winning only 34% of trades keeps you profitable.
Min Win Rate
The minimum percentage of trades you must win just to break even (not lose money) over the long term using this R:R ratio. Formula: 1 / (1 + R:R).
R:R 1:1 → Need to win 50% to break even
R:R 1:2 → Need to win 33.3% to break even
R:R 1:3 → Need to win only 25% to break even
📈
Equity Curve - What it shows
Tracks how your account balance grows or shrinks after each closed trade. A rising curve means consistent profitability. Dips show drawdown periods. The dotted gold line is your starting balance.
1
Win Rate - % of trades that closed in profit
2
Profit Factor - Total profit ÷ Total loss. Above 1.5 is strong, above 2 is excellent
3
Max Drawdown - Largest drop from a peak. Keep this below 20% for healthy risk management
◈ Blue dot = Spot trade ◆ Purple dot = Futures trade Gold line = Starting balance
Total Trades
0
Win Rate
0%
Profit Factor
-
Max Drawdown
0%
Equity Curve - Closed Trades 0 trades
◈ Spot ◆ Futures Close trades to build the curve
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