Position Size Calculator
The Position Size Calculator determines the exact quantity of shares or contracts to purchase based on your total account capital, maximum risk tolerance percentage per trade, entry price, and stop-loss price.
Position Sizing Output
How Does the Position Size Calculator Work?
The Position Size Calculator determines the exact quantity of shares or contracts to purchase based on your total account capital, maximum risk tolerance percentage per trade, entry price, and stop-loss price.
By inputting your customized parameters into the calculator sliders or numeric input fields above, the tool immediately processes the mathematical formulas in real time to generate interactive visual graphs, principal vs interest splits, and detailed summary tables.
Position Sizing Formula
Variables Explained:
| Account Capital | Total trading account size (e.g., ₹5,00,000) |
| Risk % | Maximum percentage of account willing to lose on one trade (Typically 1% to 2%) |
| Risk Per Share | The difference between your Entry Price and Stop Loss Price |
Risk-Controlled Position Sizing Example
To ensure you never lose more than 1% (₹5,000) if the stock hits your ₹475 stop loss, you should buy exactly 200 shares.
Example Input Parameters:
- Account Capital ₹5,00,000
- Risk Percentage 1% (Max risk = ₹5,000)
- Entry Price ₹500 / share
- Stop Loss Price ₹475 / share (Risk per share = ₹25)
Calculated Output Summary:
- Max Cash at Risk ₹5,000
- Optimal Share Quantity 200 Shares (₹5,000 ÷ ₹25)
- Total Capital Allocated ₹1,00,000 (200 × ₹500)
Frequently Asked Questions (FAQs)
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Financial Disclaimer
Calculator results are mathematical estimates for informational and educational purposes only. Actual returns, EMI values, tax deductions, and maturity proceeds may vary based on lender policies, market conditions, and regulatory revisions.
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