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Risk Metric 1D/1W (Magistr)

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The “RISK METRIC 1D/1W” indicator is designed to assess the risk of trading strategies or assets on daily (1D) and weekly (1W) timeframes. It helps to understand potential risk levels. Our indicator takes into account volatility, drawdowns, probability of large losses or profitable opportunities, which allows you to make more informed decisions on entering or exiting a position.

The indicator can show, for example:

- the probability of heavy drawdowns,

- the strength of market movements,

- risk levels compared to historical data,

- potential range of possible losses or profits in a given time frame.

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