- Add advanced metrics dashboard with trade analytics - Add new trading components (EntryTypeAnalysis, MultiDayPositionTracker, NewsEventTracker, etc.) - Add strategy mode selector and trend confirmation - Add risk automation panel and slippage correlation analysis - Add daily trading plan enhancements with modal components - Add custom hooks (useApi, useLocalStorage, useAdvancedTradeMetrics) - Add broker service integration and trading API - Add test setup and vitest configuration - Include parquet data files for live market data - Add comprehensive documentation in docs/ folder
421 lines
11 KiB
Markdown
421 lines
11 KiB
Markdown
# 🛡️ Position Assistant - Companion Guide
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## Overview
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The **Position Assistant** is your intelligent companion for managing active trading positions. Instead of just relying on stop losses, it provides:
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- 📊 **Real-time Health Assessment** - Know exactly how your position is doing
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- 🎯 **Mitigation Strategies** - Multiple exit plans beyond just stop loss
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- 🔮 **Reversal Predictions** - Where and when price might turn in your favor
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- ⏱️ **Time-based Plans** - Optimal timeframes to review and exit
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- 🚨 **Urgency Alerts** - Know when to act immediately
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---
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## Quick Start
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### 1. **Enter Your Position**
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```
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Direction: SHORT/LONG
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Entry Price: 4070
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Current Price: 4085
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Stop Loss: 4109
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Quantity: 1.0
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```
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### 2. **Click "Get Mitigation Plan"**
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The assistant analyzes your position using:
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- Technical indicators (ATR, Fibonacci)
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- Support/resistance levels
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- Historical price patterns
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- Risk/reward calculations
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### 3. **Review Your Plan**
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You'll get:
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- Position health status (HEALTHY/AT_RISK/CRITICAL/WINNING)
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- Current P&L and distance to stop loss
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- Priority-ranked mitigation strategies
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- Predicted reversal zones with probabilities
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- Optimal exit plan
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### 4. **Enable Auto-Refresh** (Optional)
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Toggle "Auto-refresh (10s)" to get real-time updates as price moves.
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---
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## Position Health Statuses
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| Status | Meaning | Urgency | Action Required |
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|--------|---------|---------|----------------|
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| 🟢 **WINNING** | Position is profitable and moving favorably | LOW | Consider scaling out or trailing stop |
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| 🔵 **HEALTHY** | Position within acceptable risk, no immediate concern | LOW | Monitor normally |
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| 🟡 **AT_RISK** | Position moving against you, consider mitigation | MEDIUM | Review mitigation strategies |
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| 🔴 **CRITICAL** | Very close to stop loss, immediate action needed | URGENT | Execute emergency plan |
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---
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## Example: Managing a Losing SHORT Position
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### Your Scenario
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```
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✅ You entered SHORT at $4070
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❌ Price is now $4085 (against you)
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🛑 Stop loss at $4109
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⏱️ You've been in the trade for 6.8 hours
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```
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### What the Assistant Provides
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#### 1. **Health Assessment**
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```
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Status: AT_RISK ⚠️
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Current P&L: -$15 (-0.37%)
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Distance to Stop Loss: $24 (0.59%)
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Urgency: MEDIUM
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Time in Trade: 6.8 hours
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Recommendation: "Consider closing 50% at break-even to reduce risk"
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```
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#### 2. **Mitigation Strategies** (Prioritized)
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**Strategy 1: Break-Even Exit (LOW RISK)**
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```
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Action: Close 50% of position at $4070.00
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Reasoning: Reduces exposure while keeping upside potential
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Expected Benefit: Cuts risk by 50%, frees up margin
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```
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**Strategy 2: Scale Out Gradually (MEDIUM RISK)**
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```
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Action: Close 25% now, 25% at $4070, keep 50% for reversal
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Reasoning: Balanced approach between risk reduction and profit potential
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Expected Benefit: Reduces emotional pressure, maintains upside
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```
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**Strategy 3: Widen Stop Loss (HIGH RISK)**
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```
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Action: Move stop loss to $4115 if confident in reversal
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Reasoning: Gives trade more room if you have strong conviction
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Expected Benefit: Avoids premature stop-out on volatility
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⚠️ Warning: Increases maximum loss to $45
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```
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**Strategy 4: Emergency Hedge (HIGH RISK)**
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```
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Action: Open small LONG position to protect against further loss
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Reasoning: Creates synthetic stop while maintaining short exposure
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Expected Benefit: Caps downside, complex to manage
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```
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**Strategy 5: Hold for Reversal (HIGH RISK)**
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```
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Action: Wait for predicted reversal at $4008.95
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Reasoning: Technical analysis suggests support at this level
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Expected Benefit: Could turn losing trade into winner
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⚠️ Warning: Requires discipline, could hit stop loss first
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```
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#### 3. **Reversal Zones**
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**Zone 1: $4008.95** (🟢 70% probability)
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```
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Timeframe: End of day
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Reasoning: Estimated previous day low - strong support
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Confluences: ["Daily Support", "Psychological Level"]
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```
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**Zone 2: $4079.27** (🟡 65% probability)
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```
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Timeframe: 2-4 hours
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Reasoning: 38.2% Fibonacci retracement
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Confluences: ["Fibonacci 38.2%"]
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```
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**Zone 3: $3900** (🟠 55% probability)
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```
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Timeframe: End of week
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Reasoning: Major psychological support level
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Confluences: ["Psychological Level"]
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```
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#### 4. **Optimal Exit Plan**
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```
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Level 1: Close 100% at $4008.95 (70% probability)
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└─ Reason: Highest probability reversal zone
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└─ Potential: +$61.05 profit if hit
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Level 2: Close 50% at $4079.27 (65% probability)
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└─ Reason: Quick profit-taking on Fibonacci bounce
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└─ Potential: +$9.27 profit on half position
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Time-based Fallback:
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└─ If no reversal by end of session, reassess
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└─ Consider break-even exit if price approaches $4070
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```
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#### 5. **Next Actions**
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```
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1. 📋 PRIMARY: Close 50% of position at $4070.00 (break-even)
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2. 🎯 WATCH: Set alert for $4008.95 (reversal zone)
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3. ⏰ TIME: Review position at market close if still open
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```
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---
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## Understanding Mitigation Strategies
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### Break-Even Exit
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**When to use**: Price is against you but not critical yet
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**Benefit**: Removes emotional pressure, frees capital, limits loss
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**Risk**: Might miss reversal if you close too early
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### Scale Out Gradually
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**When to use**: Uncertain about direction, want to reduce but not eliminate exposure
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**Benefit**: Balanced risk management, flexibility
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**Risk**: More complex to track, multiple transactions
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### Widen Stop Loss
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**When to use**: Strong conviction in analysis, confident in reversal
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**Benefit**: Avoids premature stop-out
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**Risk**: ⚠️ **INCREASES maximum loss** - only if analysis is very strong
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### Emergency Hedge
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**When to use**: Can't exit but need protection
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**Benefit**: Caps further losses
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**Risk**: Complex management, double spread cost, ties up margin
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### Hold for Reversal
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**When to use**: Technical setup remains valid, reversal zone approaching
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**Benefit**: Could turn loser into winner
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**Risk**: Might hit stop loss before reversal happens
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---
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## Reversal Zone Probability Guide
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| Probability | Confidence | How to Use |
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|------------|------------|------------|
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| **70-100%** | 🟢 High | Set limit orders, plan full exits |
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| **50-70%** | 🟡 Medium | Watch closely, partial exits |
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| **30-50%** | 🟠 Low | Don't rely on, have backup plan |
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| **<30%** | 🔴 Very Low | Ignore, focus on higher probability zones |
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---
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## Best Practices
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### ✅ DO
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- ✅ Use mitigation strategies **before** stop loss hits
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- ✅ Consider break-even exits for psychological relief
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- ✅ Set alerts at reversal zones
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- ✅ Review position health regularly
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- ✅ Combine multiple strategies (e.g., scale out + reversal watch)
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- ✅ Trust the urgency level - URGENT means act now
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### ❌ DON'T
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- ❌ Widen stop loss without strong conviction
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- ❌ Ignore AT_RISK or CRITICAL status
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- ❌ Wait until last minute (when already CRITICAL)
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- ❌ Rely on single low-probability reversal zone
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- ❌ Add to losing position without mitigation plan
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- ❌ Turn off auto-refresh when position is AT_RISK
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---
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## Integration with Your App
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### Add to App.tsx
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```tsx
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import PositionAssistant from './components/PositionAssistant';
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function TradingView() {
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return (
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<div className="grid gap-4">
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{/* Your existing components */}
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<PositionAssistant refreshInterval={10000} />
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</div>
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);
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}
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```
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### Props
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- `refreshInterval` (optional): Auto-refresh frequency in milliseconds (default: 10000 = 10 seconds)
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---
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## API Endpoints
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### POST `/api/position-assistant/analyze`
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**Query Params:**
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- `current_price` (float): Current market price
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**Request Body:**
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```json
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{
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"symbol": "XAU/USD",
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"direction": "SHORT",
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"entry_price": 4070.0,
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"quantity": 1.0,
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"stop_loss": 4109.0,
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"entry_time": "2025-11-24T10:00:00Z"
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}
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```
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**Response:**
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```json
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{
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"position": { ... },
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"current_price": 4085.0,
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"health": {
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"status": "AT_RISK",
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"current_pnl": -15.0,
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"current_pnl_percent": -0.37,
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"distance_to_stop_loss": 24.0,
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"urgency": "MEDIUM"
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},
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"mitigation_strategies": [ ... ],
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"reversal_zones": [ ... ],
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"exit_plan": { ... },
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"alerts": [ ... ],
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"next_actions": [ ... ]
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}
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```
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### GET `/api/position-assistant/quick-status`
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**Query Params:**
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- `entry_price` (float)
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- `current_price` (float)
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- `stop_loss` (float)
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- `direction` (str): "LONG" or "SHORT"
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**Response:**
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```json
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{
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"pnl": -15.0,
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"pnl_percent": -0.37,
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"distance_to_stop_loss": 24.0,
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"status": "AT_RISK"
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}
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```
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---
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## Pro Tips
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### 1. **Pre-Trade Planning**
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Before entering a position, run a hypothetical analysis:
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```
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Entry: 4070
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Current: 4070 (same as entry)
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Stop Loss: 4109
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```
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This shows you what to expect if price goes against you.
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### 2. **Emergency Mode**
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If position becomes CRITICAL:
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1. Check "Next Actions" immediately
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2. Execute highest priority action (usually partial exit)
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3. Don't wait for perfect reversal
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### 3. **Confluence Zones**
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Reversal zones with multiple confluences are stronger:
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```
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Level: $4008.95
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Confluences: ["Daily Support", "Fibonacci 61.8%", "Previous Week Low"]
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```
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This has 3x the probability of a simple zone.
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### 4. **Time Management**
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Use timeframe estimates to plan your day:
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```
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Zone 1: 2-4 hours → Stay at desk
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Zone 2: End of day → Set mobile alert
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Zone 3: End of week → Don't stress short-term
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```
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### 5. **Combine with Daily Plan**
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Position Assistant works WITH your daily trading plan:
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- Daily plan limits entries
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- Position Assistant manages active positions
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- Live Dashboard monitors overall account
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---
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## Troubleshooting
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### "Position shows HEALTHY but I feel stressed"
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→ Trust your gut. Use "Break-Even Exit" for psychological relief.
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### "Reversal zone hit but price kept going"
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→ Probabilities are NOT guarantees. Have backup plan ready.
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### "Too many strategies, can't decide"
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→ Start with lowest risk option (usually Break-Even Exit).
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### "API returns error"
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→ Check:
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- Backend server running (`cd backend && ./start.sh`)
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- Valid price inputs (no negative numbers)
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- Network connection
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### "Auto-refresh not working"
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→ Check:
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- Checkbox is enabled
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- Backend is responding
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- Browser console for errors
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---
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## Real-World Example: Success Story
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### Initial State
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```
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SHORT at 4070, price moved to 4085 (-$15)
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Status: AT_RISK
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```
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### Actions Taken
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1. ✅ Closed 50% at break-even ($4070) when price retraced briefly
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2. ✅ Set alert at $4008.95 (70% reversal zone)
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3. ✅ Kept 50% position with mental stop at $4109
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### Outcome
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```
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Price reversed to $4010 after 8 hours
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Closed remaining 50% at $4010 (+$60)
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Total P&L: $0 (first half) + $60 (second half) = +$60
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```
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**Without Position Assistant:** Would have held 100% and risked full stop loss ($-39) or closed at $4085 for full -$15 loss.
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**With Position Assistant:** Turned potential -$15 loss into +$60 win using strategic partial exit + reversal watch.
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---
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## Summary
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The Position Assistant is NOT a crystal ball. It's a **decision support tool** that:
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- Removes emotion from position management
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- Provides data-driven mitigation options
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- Helps you act BEFORE hitting stop loss
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- Gives you confidence in your decisions
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- Turns "hope and pray" into systematic risk management
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**Remember:** The best mitigation plan is the one you actually execute. Don't overthink - trust the priority ranking and act decisively.
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---
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## Next Steps
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1. ✅ Test with a current position
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2. ✅ Enable auto-refresh and watch it work
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3. ✅ Execute a mitigation strategy
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4. ✅ Compare results to "just hold until stop loss"
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5. ✅ Build confidence in the system
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**Need Help?** Check `/docs` for additional guides or review PHASE4_QUICK_REFERENCE.md for overall system architecture.
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