APEX 6-3 Rule of Money Management   
To figure out what your money management should be. 1st see what type of stop you are using and how many ticks it is. ( for example in the SEES System we use 10 tick bars and are stop in most cases is around 20 ticks). So if you have a 4000.00 dollar account you can only lose two trade in a row before you should stop trading for the day. So you would have to have an account around 12,000.00 dollars to be able to do the 6-3 Rule.  
  Total loss per trade    
  6 Trades 5 Trades 4 Trades 3 Trades 2 Trades    
     
               
  Stop loss in ticks for 1 contract     
  25 24 23 22 21    
     
  20 19 18 17 16    
     
   
Total Wins Allowed   In personal Account    
Total losses Allowed
Enter the number of losses that you can take in a row with the chart on the right.
  In Personal Trading Acc    
               
Starting balance
Add your trading amount in here.
  Total Amount after 20% Capital gains     
5 % of my Balance      
Tick goal   Total amount for taxes    
Value Pre Tick
put the tick amount in here.
      After taxes  
Tick X Value   IF you only made 45%
Contracts for 3 Months 1   IF you only made 25%
Contracts for Month 4 2   IF you only made 15%
Contracts for Month 5 3          
Contracts for Month 6 5          
Contracts for Month 7/12 7          
               
Month Contracts Profit in a day Profit in a Month Withdrawals per week Withdrawals Per month Account balance  
1  
2
3
   One Contract for the first three months    
   
   
4  
5  
6  
7  
8  
9  
10  
11  
12  
               
             
               
  Strangle Calculator for binary OTM
                                 
Sell side
Enter your sell price here.
Sell Risk
Take Profit as Buy Sell Profit
         
Total Risk
Both hit TP
                         
Buy Side
Enter your Buy price here.
Bought Risk
Take Profit as Sell Bought Profit
         
  Directional Biased Strangle Calculator  
                    1st Contract
Exit
    Profit
on 1
P & L Summary   Win only
Contract 1
Win Win Win    
QTY
Sell Directional
Contract 1 Contract 1 Contract 1
        Sell Risk Remaining
Contract(s)
Exit
    Profit
on 2
Total   Lose
Contract 2
Win Win    
                  Loss   Contract 2 Contract 2    
              Total Risk                    
Buy Hedge x 1
        Bought Risk   Hedge
Exit
    Profit Hedge   Win only Hedge Win Hedge Lose Win Hedge    
                  Hedge      
        Sell Hedge x 1                                    
        Sell Risk   Hedge
Exit
    Profit Hedge P & L Summary   Win only Hedge Win Hedge Lose Win Hedge    
                    Hedge      
              Total Risk                    
QTY
Buy Directional
Total Loss
                                           
        Bought Risk 1st
Contract
Exit
    Profit
on 1
  Win only
Contract 1
Win Win Win    
                Contract 1 Contract 1 Contract 1    
                  Remaining
Contract(s)
Exit
    Profit
on 2
    Lose
Contract 2
Win Win    
                          Contract 2 Contract 2