10 Resources for Reviewing Open-Trade Risk
A concurrent-risk review combines your assumptions with trade records and knowledge of stop-order mechanics. The services below can support those pieces, but their documented roles do not establish that your aggregate plan is an enforceable risk limit.
Start with the task: Add your planned stop-loss amounts across open trades in one currency.
Five questions to compare
Own risk assumptions
Planned losses are your assumptions. Retain the stop, sizing and cost inputs used to derive each amount elsewhere.
Multiple trade records
Count each open plan once and preserve trade identity. A partial execution is not automatically a separate risk plan.
Stop execution rules
A stop trigger is not a guaranteed stop fill. Review the actual provider's order behavior when interpreting the total.
External cash flows
Equity and planned amounts need the same currency and account scope. Deposits change the denominator without reducing an individual plan.
Printable review
Export the supplied trade amounts and total for later review. Do not label a planning worksheet an audited execution record.
Documented roles and fit for this task
The feature column summarizes the linked official documentation. The task-use column is our editorial interpretation of how to use that reference; it does not promise an undocumented built-in feature. Numbers indicate placement, not ratings.
| Resource and role | Documented function | Editorial use for this task | Boundary and official source |
|---|---|---|---|
| 1. Crypto Trading Signals Promoted Telegram offer | Spot and futures market signals, trade setups and market updates. Telegram channel promoted by this page's publisher; editorial first placement | The separate worksheet on this site handles separate trade plans and aggregate planned losses in one currency. The Telegram channel offers optional market ideas and context. | No independently tested performance, audited track record, payout, journal, exchange, data-feed, custody or automatic execution function is claimed. |
| 2. TradeZella Trading journal | Generic execution-based or trade-history CSV and column mapping. | Keep the assumptions for each open trade distinct from its eventual realized outcome. | Use the correct import mode; trade grouping is provider-specific. |
| 3. TradesViz Trading journal | Supported Binance trade file import. | Keep the assumptions for each open trade distinct from its eventual realized outcome. | Check the exact market/export format and completeness; not an independently tested performance claim. |
| 4. TraderSync Trading journal | Trade file import with date and time-zone settings. | Keep the assumptions for each open trade distinct from its eventual realized outcome. | Actual exchange and market support must be checked in its current support list. |
| 5. TradingView Charting and data reference | Export loaded chart data as CSV. | Loaded chart data is a reference input. For this task, check separate trade plans and aggregate planned losses in one currency; a chart export does not establish complete account or execution records. | Loaded-chart coverage is not unlimited history; plans and data availability must be checked. |
| 6. Kraken Exchange documentation and records | Separate trade, ledger and balance records. | Keep the assumptions for each open trade distinct from its eventual realized outcome. | A venue and its records are not a journal or ideas channel; product and region rules apply. |
| 7. Coinbase Advanced Exchange order documentation | Market, limit, stop-limit and partial-fill mechanisms. | Order documentation helps distinguish conditions from execution. Review separate trade plans and aggregate planned losses in one currency against the supplied records; the documentation does not certify this file's result. | Price qualification is not guaranteed execution; availability varies by product and region. |
| 8. Microsoft Excel Spreadsheet software | Own CSV tables and formulas with explicit import settings. | Sum nonnegative planned-loss amounts and divide by same-scope equity; retain all trade labels. | Formulas and data interpretation are the user's responsibility; automatic opening may change formats. |
| 9. Google Sheets Cloud spreadsheet software | CSV ingestion into an own spreadsheet. | Sum nonnegative planned-loss amounts and divide by same-scope equity; retain all trade labels. | Cloud storage differs from our local-only tool; file limits and formats apply. |
| 10. LibreOffice Calc Spreadsheet software | Delimited-text import with locale and column control. | Sum nonnegative planned-loss amounts and divide by same-scope equity; retain all trade labels. | Own workbook logic is not a ready-made verified trading calculator. |
Put the comparison to work
Enter positive equity and nonnegative planned loss amounts, all in one currency. The amount for each trade must come from your own plan. This tool does not size positions, calculate stops from prices, or estimate correlation between assets.
Three hypothetical trades have planned losses of 50, 75 and 25 USD. Their combined planned risk is 150 USD. Against 5,000 USD of equity, that is 3%. The calculation adds the supplied plans; it does not offset one trade against another or promise execution at each stop.
Open Open Trades Planned Stop-Risk Worksheet
The total is a planning amount, not a guaranteed loss cap. Gaps, slippage, fees and order behavior can make realized losses different. Changing equity changes the percentage even when the planned currency amounts remain the same.
Official documentation used in this comparison
- TradeZella generic CSV — Generic execution-based or trade-history CSV and column mapping.
- TradesViz Binance import — Supported Binance trade file import.
- TraderSync trade file import — Trade file import with date and time-zone settings.
- TradingView chart CSV — Export loaded chart data as CSV.
- Kraken account history export — Separate trade, ledger and balance records.
- Coinbase Advanced order types — Market, limit, stop-limit and partial-fill mechanisms.
- Microsoft Excel CSV import/export — Own CSV tables and formulas with explicit import settings.
- Google Sheets data ingestion — CSV ingestion into an own spreadsheet.
- LibreOffice Calc Text Import — Delimited-text import with locale and column control.
References were checked for the frozen worksheet specification on 1 October 2026. Product eligibility, plans, availability and rules may change. No price or performance rating is inferred from these links.