Risk management option when setting up trades for both manually entered & signal based trades.
Automatically calculated & applied to all trades based on position size which would be calculated using Entry Point & Stop Loss Point also allowing for leverage.
User enters Risk Per Trade as Percentage of Account Balance & cornix calculates position size to open the trade with based on Stop Loss Distance from the Entry Point. The greater the distance the smaller the position size will be so the max possible loss for the trade will be the same if 1% E-SL or 5% E-SL.
The account wil auto compound with this method - If this trade wins next trade will have larger value than current entry value & if current trade loses the next trade will have a lower value than the current trade & all user will know that on every trade setup that they can only lose a set % of the account balance, therefore they can use cross margin mode as it was intended to run trades with big distances between Entry & Stop Loss Positions without having to constantly DCA into trades.
This feature would be very usefull & is the best I know of for effective Risk Management.
it exists already for signal bots