Te revelaré mi técnica personal de compra y venta que utilizamos dentro del gráfico D1, H4. Esta táctica realmente es fácil, así como usted necesita para descubrir esto a través del ejercicio. Antes de que comencemos adicionales deseo indicar que mi técnica personal no es ninguna estafa o incluso obtener la técnica rica rápida. Por lo tanto, es necesario descubrir esto a través del esfuerzo. Valoramos la observación, así como el diálogo con esta línea. Sin embargo, no ofender a nadie con este acuerdo. Publicar la exhibición sin mi técnica personal de compra y venta.
Haga clic aquí para descargar una nueva herramienta de comercio y estrategia GRATIS
I & # 8217; ll revelará casi todas las señales, así como el tema. Así como I apenas la industria fijó EurUsd, GbpUsd, AudUsd, XauUsd, Nzdusd, UsdJpy, UsdCad, UsdChf. Además, sugerimos a todo el mundo sólo la industria de este conjunto en particular 8, así como gráfico de la industria D1 realmente principalmente. Es mi trabajo para no realmente la industria gráfica h1 sin embargo, notamos h1 gráfico, además. Esto es realmente 1 industria gráfica h1 que me abren la industria dentro de metales preciosos. La industria está dentro de buenos ingresos y por lo que camino sl en el punto de acceso. I & # 8217; ll hacer uso de movimiento de costos, así como la asistencia, así como solicitante de registro. Sin embargo, en realidad es pequeño tipo de sitio web adicional adicional que las personas entrenan. Discutiré todas las pautas de compra y venta paso a paso. En primer lugar ya existe un tema. Antes de comenzar a comprar y vender junto con mi configuración personal le sugiero a una persona deshacerse de toda la configuración previa que utiliza y se adhieren a mi configuración personal religiosamente.
Opciones de nivel 1 trading schwab
Desde que Charles Schwab adquirió optionsXpress en 2011, la integración ha sido un proceso continuo. Schwab ha portado meticulosamente características específicas y la funcionalidad de optionsXpress en los últimos años. Finalmente, optionsXpress se cerrará y sus clientes se migrarán a toSchwab; Sin embargo, aún no se ha anunciado una fecha exacta para esta migración.
Cómo invertir usando Charles Schwab Idea Hub para Opciones de Stock Opciones de nivel 1 trading schwab.
Los corredores varían en qué transacciones permiten en su IRA, pero una restricción ordenada por el IRS es que usted no puede usar su IRA como garantía o garantía para un préstamo. Obtener apalancamiento utilizando el margen y la venta de acciones de corto implica el uso de los activos en su cuenta para garantizar los préstamos sothose comercios son definitivamente en un IRA. Opciones de nivel 1 trading schwab.
Hay riesgos inherentes en el uso de margen. Un mayor apalancamiento significa un mayor riesgo. Para obtener más información acerca de la negociación en margen y el uso de portfoliomargin, lea nuestro "Contrato de divulgación de riesgo de margen de cartera" y "Declaración de divulgación de margen", disponible en nuestro sitio web o llamando al 1.888.280.8020 o 1.312.629.5455.
Opciones de nivel 1 trading schwab - Leer más
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A los operadores de opciones les encantará la entrada de fácil orden, gracias a una versión personalizable del aburrido billete de comercio de todo-en-uno de optionsXpress. El análisis de las posiciones teóricas es también una brisa utilizando la Calculadora de Comercio y Probabilidad, otra herramienta con puertos de optionsXpress. En 2015, Schwab incluso añadió el tipo de orden de límite de marcha. Para evitar el ajuste de órdenes límite cuando se sientan en vivo, Walk Limit "camina" su pedido para tratar de obtener el precio más favorable dentro de la mejor oferta nacional o oferta (NBBO); Y sí, provenía de optionsXpress.
Una plataforma de negociación de nivel profesional para los comerciantes serios que buscan. Aprovechar oportunidades y más; Acceso a la aplicación comercial # 1 en la App Store †. Afilar sus habilidades de negociación con recursos interactivos sobre temas como futuros, divisas, opciones. Las herramientas StreetSmart® de Schwab están disponibles para los clientes de Schwab Trading Services.
Posts relacionados Top 15 preguntas sobre el comercio en un IRA Giros y vueltas en la conversión de un IRA tradicional a un Roth Trading en cuentas IRA, y evitar el "paseo libre"
A partir de 2005, Charles Schwab lanzó una serie de anuncios de televisión. En una revisión de la revista Slate, Ben Stuart, VP de Brand Strategy y Advertising forSchwab, dijo que las caricaturas obligan al espectador a centrarse en lo que escucha. Los anuncios televisivos fueron producidos por Euro RSCG y dirigidos / animados por Bob Sabiston'sFlat Black Films. Los anuncios de "Talk to Chuck" aparecen en medios impresos, en línea, vallas publicitarias y sucursales. Nivel 1 opciones trading schwab.
Opciones de nivel 1 trading schwab. There es más variación entre los corredores sobre qué opciones de transacciones están disponibles en su IRA. Ninguno de ellos permite la venta de llamadas desnudas o pone, pero sé que Fidelity y OptionsXpress, pero no Schwab soportar spreads verticales en sus cuentas IRA. Por lo general, pone largas y llamadas, las llamadas cubiertas, y las colocaciones de capital garantizado en efectivo se permiten si se aprueba en los niveles de opción apropiados. Las opciones de opciones liquidadas en efectivo son en realidad manejadas de forma más sencilla ya que no pueden resultar en compras de acciones / ventas cortas si las opciones caducan con el precio subyacente entre los precios de los twostrike. Además, las opciones liquidadas en efectivo (por ejemplo, VIX y SPX) a menudo tienen ejercicio de estilo europeo, lo que significa que no se pueden asignar hasta la expiración. Esta es una buena característica para las opciones se extiende donde normalmente no quiere que una pierna de su propagación para convertir en una posición larga o shortequity.
La Charles Schwab Corporation es una empresa de corretaje y banca estadounidense, con sede en San Francisco, California. Fue fundada en 1971 por Charles R. "Chuck" Schwab, [4] como una empresa tradicional de corretaje de ladrillo y mortero y editor de boletines de inversión. [1] En 1973, la compañía cambió su nombre del primer comandante Corporation a Charles Schwab & Co. Inc. [1] La compañía comenzó a ofrecer la correduría del descuento el 1 de mayo de 1975, [4] y se convirtió en uno de los corredores de descuento más grandes del mundo.
Opciones de video de nivel 1 trading schwab
Conclusión Esta guía para principiantes ha proporcionado una visión general del sitio web de Schwab y sus capacidades. El sitio web es un tonavigate razonablemente fácil, y los lectores de esta guía deben ahora ser capaces de iniciar sesión en el sistema, acceder a sus cuentas, investigar inversiones potenciales, obtener asesoramiento y ejecutar operaciones. Si bien esta guía ha proporcionado un valioso punto de partida, como con cualquier sistema, es probable que descubra que cuanto más usesSchwab, más fácil será navegar por el sitio y encontrar rápidamente lo que buscas. Nivel 1 opciones de comercio de ganancias schwab.
Los inversores que negocian ETFs también disfrutarán de Charles Schwab como el corredor líder en su oferta de ETFs sin comisiones, con 214 en total. En 2000, Schwab compró US Trust por 73.000 millones de dólares. [8] En 2001, menos de un año después de la adquisición de US Trust, La filial del US Trust recibió una multa de un millón de dólares en un caso de ley de secreto bancario y se le ordenó pagar millones al Departamento de Bancos del Estado de Nueva York y un millón a la Junta de Reserva Federal. [9] El 20 de noviembre de 2006, Schwab anunció un acuerdo para vender US Trust A Bank of America por .3 mil millones de efectivo. [10] Thedeal cerrado en el segundo trimestre de 2007. para vender), el segundo más alto en el industry. level 1 opciones trading schwab.
Los competidores en la industria de corretaje de descuento son: E * TRADE, Fidelity Investments, Firstrade Securities, IDealing, Merrill Edge, Place Trade, Scottrade, TD Ameritrade y TradeKing.
El tratamiento tributario de las operaciones en IRAs es bastante simple: en el corto plazo no se pagan impuestos sobre los beneficios de las operaciones individuales, y no se puede tomar una deducción por las pérdidas. En una cuenta de impuestos diferidos como un IRA tradicional, generalmente pagará impuestos sobre sus ganancias cuando haga distribuciones, pero mientras tanto está aumentando su dinero sin pagar impuestos, lo cual es una gran ventaja. Por supuesto, los impuestos son un tema horriblemente complicado, así que consulte a su asesor fiscal para obtener respuestas definitivas.
La funcionalidad de gráficos estándar es básica, pero bien construida, ya que los pequeños detalles no se pasan por alto. Cualquiera que sea la configuración que se aplique a un área del gráfico automáticamente guardada como predeterminada, por lo que cada vez que se carga un gráfico nuevo, no tiene que pasar tiempo re-configurándolo a su gusto. Schwab ofrece 34 indicadores diferentes que se pueden agregar que son más que suficientes para el inversor medio. Realmente disfruté tener la habilidad de ver fácilmente las cartas históricas que datan desde 1980. (Nivel 1 opciones trading schwab profit. |)
En el lado positivo, el inicio de sesión de huella dactilar (Touch ID) se integró en la experiencia móvil en 2015, así como el soporte para transacciones de opciones de tres y cuatro patas. Para encontrar nuevas ideas de comercio de opciones, los clientes pueden usar Idea Hub, una creación de optionsXpress y filtrar a través de listas como "Big Movers", "Ganancias", "Premium Harvesting" y "Buy Write".
Estrategia D1 o H4 por favor?
Np Bossxero, como el Gato mencionado.
Ahora en el tema, estoy trabajando en esta situación exacta. A mi hija le gusta el forex, pero no el estilo de vida. Donde vivimos, el Frankfurt comienza a las 00:00 hora de la Montaña, y no le gusta trabajar durante la noche. Aunque mi hijo de 16 años piensa que es genial.
Inicialmente tomé un sistema que utilizo en los gráficos de 15 o 30 minutos, pero es demasiado lento en las reversiones, con demasiadas señales falsas. Ella está ganando grandes en algunos oficios, pero las pérdidas son grandes también. Le mantendrá informado de nuestro progreso.
¿Se opondría a un H4 o menor, si envió un correo electrónico cuando llegó el momento de tomar una decisión? En los marcos de tiempo más grandes, estoy considerando el uso de la EA como más de un "consejero & quot; Que auto comerciante. En otras palabras, llámame al PC cuando estamos en una zona de decisión, y lo tomaré de aquí. De esta manera, un PDA o portátil móvil podría ser utilizado fuera de la estación comercial.
A menudo me he preguntado si un simple salto de línea de tendencia sería mejor. Dibujamos la línea de tendencia, la EA detecta el objeto y negocia cuando el precio se cierra a través de la línea. Ya tengo esto para la salida del comercio.
¿Qué esperas para el comercio, la tendencia o los rangos?
Última edición por flexie; 06-25-2007 at 07:53 AM.
Estrategias D1 Fáciles
08-16-2009, 02:40 PM
Fecha de Ingreso: mayo 2009
Buscando las mejores estrategias D1 por favor ayuda.
gracias por adelantado
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Los miembros registrados tienen acceso libre a herramientas de comercio de divisas FOREX en línea, software de divisas, asesores expertos MT4 / MT5 de Metatrader, indicadores MT4 y EAs. Regístrate ahora
Publicado el 13 de marzo de 2016
Mejores estrategias de comercio de divisas
En el análisis técnico hay muchos indicadores que los comerciantes pueden utilizar y cada uno tiene su propio método preferido. Hay niveles de resistencia donde se ha demostrado que aprice históricamente no cae por debajo o se mueve por encima de i. e el precio parece mostrar resistencia. O hay bandas estadísticas en las que un precio se mueve entre las bandas y si el precio se rompe en la parte superior, entonces esto puede indicar una tendencia al alza y si el precio sale de abajo, puede indicarse una tendencia a la baja. Hay muchos libros y trabajos de investigación sobre el tema y es hasta usted si confía en estos indicadores y si así es como puede que desee utilizar estos en su estrategia.
Mis mejores estrategias de Forex Trading top forex trading strategies.
Estos productos de comercio de divisas tienen una buena reputación y bien conocido en el mercado de divisas durante años. Principales estrategias de compraventa de divisas.
Si bien eso es cierto, y no puedo garantizar su éxito, estoy feliz de compartir con ustedes esta configuración de comercio que está funcionando para mí. Y te diré que "¡prueba antes de comprar!"
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Estos son algunos puntos clave a tener en cuenta al definir su estrategia:
¡Todo sobre el sistema del mercado de la divisa, estrategias del mercado, señales y trucos para convertirse en un corredor hoy!
El inconveniente de los corredores ECN son sus plataformas de negociación. Puede que no sean muy fáciles de usar. Si usted es un principiante de la divisa que necesita para practiceto acostumbrarse a ellos. Si usted es un comerciante experimentado, este problema no debería ser un problema para usted.
Lo obtendrá el día 4 de mi libre 5 días de curso de comercio: top forex trading estrategias.
Top forex trading strategies. There son tres tipos principales de corredores de divisas diferenciadas por la forma en que operan. Negociar correos de escritorios tratar de agrupar los oficios juntos y notsend a través de pequeños oficios individuales para el mercado de la manera STP corredores hacer. El objetivo es ahorrar en los costos de transacción del corredor. Esto es algo que hace la agencia de turismo cuando montan un grupo turístico a Hawai en vez de vender las excursiones individualmente.
Simplemente llene el formulario corto y fácil a continuación. Recibirá instantáneamente un correo electrónico con el enlace a su primera lección de video HOY!
Ver las mejores estrategias de compraventa de divisas
Descargo de responsabilidad: El comercio de divisas ( "Forex"), futuros de productos básicos, opciones, CFDs y SpreadBetting sobre el margen conlleva un alto nivel de riesgo, y no puede ser adecuado para todos los inversores. Antes de decidir intercambiar divisas ( "Forex"), Futuros de commodities, opciones, CFDs o SpreadBetting debe considerar cuidadosamente sus objetivos monetarios, nivel de experiencia y apetito de riesgo. Existe la posibilidad de que usted podría sostener una pérdida de algunos o todos sus fondos depositados y por lo tanto no debe especular con el capital que no puede permitirse perder. Usted debe ser consciente de todos los riesgos asociados con divisas, futuros de productos básicos, opciones, CFDs y SpreadBetting de comercio, y buscar el asesoramiento de un asesor independiente si usted tiene dudas. Las rentabilidades pasadas no son indicativas de resultados futuros. Principales estrategias de comercio de divisas en línea.
© 2010-2014. MyDigiTrade gestionado por Larmond Capital Ltd. top estrategias de negociación de divisas.
* El sRs Trend Rider Trading System es un sistema de comercio semi-automatizado, que sólo le da alertas de señal para los mejores puntos de entrada, y usted tiene la opción de tomar o no. * Funciona en la plataforma MT4 MetaTrader. * Funciona en todas las condiciones del mercado, incluyendo los mercados laterales. * Funciona en todos los moneypairs. * Es adecuado para todo tipo de comerciantes. * Trabaja en todos los plazos y sesiones comerciales (scalping, intaday, de largo plazo). * Precio: 7one-tiempo cuota, no hay suscripciones mensuales. * 60 días garantía de devolución de dinero por ClickBank.
En breve. El beneficio del broker de STP proviene de clientes sin éxito y arbitraje de comisión en los pedidos enrutados. Estás sorprendido. Bueno, si los corredores siempre pierden, por qué molestarse. Y otra vez esto es porqué pueden ofrecerle un servicio tan grande y el hecho que ganan cuando usted pierde ayuda a themto lo proporciona.
Punto a la salida como se muestra es el pivote de precios en 0.84000, que es un área de resistencia para los máximos anteriores. (Top forex trading strategies online.
El sistema registra cada comercio individual por cada cliente y el momento en que se ejecutó. Los archivos son enviados cada noche a los reguladores. Los corredores de escritorio que están manipulando los precios serán fácilmente detectados por el sistema y los corredores serían disciplinados o incluso cerrados por el NFA.
Tipo de cambio forex bureau
TRABAJO DEL EQUIPO; Aprovecharemos las sinergias de los talentos combinados de todos los miembros del equipo compartiendo la carga, aceptando personalmente y compartiendo la responsabilidad y contribuyendo al mejor de nuestra capacidad individual para el logro de los objetivos del equipo.
Cambiadores de dinero del mercado negro de Nigeria: tipo de cambio de la divisa.
17 de agosto de 2014 SOCCER SOCCER SOCCER JAFFERY FB vs SPOT CASH Oficina de divisas tipo de cambio.
Las oficinas de divisas se establecieron y primeras licencias en enero de 1995 para fomentar la competencia en el mercado de divisas y reducir la tasa de cambio en el mercado. Como distribuidores autorizados, los departamentos de divisas realizan negocios y están regulados bajo las disposiciones de las secciones 33A a 33O de la Ley del Banco Central de Kenia (Cap. 491) y las Guías emitidas bajo el mismo. Directrices de la Oficina de Forex por lo tanto, se emiten en virtud de la sección 33K de la Ley CentralBank de Kenia. Actualmente hay setenta y nueve (79) oficinas de Forex con licencia ubicadas en varias ciudades del país como se muestra en el cronograma abajo:
Tipo de cambio de divisas - Leer más
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Cada uno de nosotros asumirá la responsabilidad personal por el logro de nuestros objetivos propios y corporativos. También, por ejemplo, fomentar y motivar, ayudar a otros miembros del equipo a hacer lo mismo. Creemos en el personal que crece junto con la empresa.
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Obtenga tarifas de divisas en vivo gratis, herramientas y análisis utilizando los datos más precisos. Otros servicios incluyen transferencias de dinero XE Trade, XE Datafeed y más!
8 de agosto de 2014: Jaffery Royalty Dinner.
El franco ruandés es la moneda de Ruanda. Nuestra cotización de la modernidad demuestra que la tasa de cambio más popular de Franco de Rwanda es la tarifa de RWF a la USD. Pero esto ha recorrido un largo camino y vamos a descubrir el viaje de Ruanda se ha trasladado a donde están en términos de su moneda y money. forex tasa de cambio de oficina.
Forex bureau exchange rate. City Bureau de cambio ltd fue establecido en 2008 como una Oficina de Divisas, Licenciado por el Banco de Uganda bajo el número de licencia FXB88 / 08.
Para alcanzar el liderazgo en el mercado y ganar un cliente leal siguiendo.
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En 1916, el franco de congo de Bélgica se convirtió en la moneda de Ruanda reemplazando a la rupia de África oriental alemana. Esto fue después de que Bélgica tomó Rwandaas una colonia de alemán. Esto duró hasta 1960 cuando el franco de Rwanda y de Burundi entró en juego. Posteriormente, en 1964, Ruanda comenzó a emitir sus propios francs. Dex de la tasa de cambio de divisas.
Sobre FXStreet Términos y condiciones Contáctenos Anúnciate Trabajos Mapa del sitio Mapa del sitio Homeforex bureau exchange rate.
Así que si usted está tomando un viaje a Ruanda o la planificación de uno, tenga cuidado con el dinero de Ruanda y estar interesado en comprobar las tasas de cambio antes de que se toman por sorpresa.
INTERGRITY es un principio rector en todas nuestras interacciones con los clientes, reguladores, colegas, proveedores y todos con quienes interactuamos. La integridad va más allá de la honestidad; Significa consistencia en todas nuestras palabras y acciones.
Los Servicios de Divisas son cada vez más importantes. Necesita un socio financiero fiable (forex bureau exchange rate demo. |)
Formulario de Solicitud de Licencia
Inicio Foro:
Descargo de responsabilidad: La negociación de divisas en el margen conlleva un alto nivel de riesgo y puede no ser adecuado para todos los inversores. El alto grado de apalancamiento puede trabajar en su contra, así como para usted. Existe la posibilidad de que usted podría sostener una pérdida en exceso a su inversión y por lo tanto no debe invertir dinero que no puede permitirse perder. Antes de decidir intercambiar divisas debe considerar cuidadosamente sus objetivos de inversión, nivel de experiencia y apetito de riesgo. Usted debe ser consciente de todos los riesgos asociados con el comercio de divisas y buscar asesoramiento de un asesor financiero independiente si tiene alguna duda. Cualquier opinión, noticias, investigación, análisis, precios u otra información contenida en este sitio web se proporciona como comentario general del mercado y no constituye asesoramiento de inversión. FXCM no aceptará ninguna responsabilidad por cualquier pérdida o daño, incluyendo, sin limitación, cualquier pérdida de beneficio, que pueda surgir directa o indirectamente del uso o dependencia de dicha información.
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El método de comercio de la danza Sistema de comercio - Estrategias de la divisa - Recursos de la divisa - Forex Trading - señales libres de la divisa y FX Forecast
102 # El método de comercio de danza Trading System,
1. Negociar SOLAMENTE durante los pares Londres / NY Overlap for USD.
2. Comercio SOLAMENTE durante los pares Asian / London Overlap para JPY.
3. Comercio sólo durante el Frankfurt por pares EUR.
1. Obviamente algunos pares encajan más de una sesión. Mira los tiempos por tu cuenta. Haz algo
1. 15 Minute charts SOLAMENTE para todas las señales de entrada.
1. Las otras cartas son para la dirección y afinar las entradas y salidas según sea necesario.
2. Las puntas de las mechas en H1and D1 son grandes niveles de S / R para tomar oficios apagado y para las salidas.
3. Sólo los intercambios "Touch" son aceptables en H1 y D1 y también deben coincidir con P / A en M15.
1. No más de un gráfico "principal" establecido en M15 y tres gráficos más pequeños para cada moneda "principal".
Los gráficos más pequeños deben ajustarse a M5, a H1 ya uno a D1. M5 es opcional si encuentras que te estás confundiendo en cualquier momento o que terminas prestando demasiada atención a él, perdiendo muchos oficios.
1. Comercio con la tendencia del momento para TODOS los oficios y asumir la tendencia continuará de la sesión anterior en la primera entrada.
2. Los 50 EMA con las 35 medias móviles SMA determinan la tendencia!
1. Busque largos SOLAMENTE cuando el Precio, está por encima de las 50 Líneas EMA / 35 SMA.
1. 5 y 10 EMA también deben estar por encima de las 50 Líneas EMA / 35 SMA a menos que ya estén en un
Contra tendencia de comercio.
2. SOLAMENTE el comercio el "primer toque" de los 10 EMA SI es la segunda barra en el retrace y lo comercio EXACTAMENTE en el "toque" con no más de 9 pips SL.
3. NO COMERCIA "toques" de los 5.
2. Busque pantalones cortos SOLAMENTE cuando el precio, está por debajo de las 50 líneas EMA / 35 SMA.
1. 5 y 10 EMA también deben estar por debajo de las 50 Líneas EMA / 35 SMA, a menos que ya estén en un
Contra tendencia de comercio.
2. SOLAMENTE el comercio el "primer toque" de los 10 EMA SI es la segunda barra en el retrace y lo comercio EXACTAMENTE en el "toque" con no más de 9 pips SL.
3. NO COMERCIA "toques" de los 5.
3. NO EXCEPCIONES para principiantes! Precio y EL 50EMA / 35 SMA DEBE ACEPTAR
DE ACUERDO CON EL COMERCIO, PREFERIBILMENTE DE UN PULL BACK A los 50 o
3. CONSTRAINMENT es el MEJOR y más fácil de "ver" la entrada. (Explicado en la acción del precio
Y secciones de ejemplos).
4. "Touch Trades" son las siguientes mejores señales contra los 35 o 50. También pueden ocurrir en los 10
1. DOS BARRA REGLA para "Touch Trades" es simplemente esto. Es un comercio "retrace" y si se necesita
Más de dos barras grandes para "llegar allí" (para "tocar" la MA), pasar el comercio y esperar
P / A para revelar dónde realmente va el precio.
Número Máximo de Operaciones. NO EXCEPCIONES NUNCA.
1. Máximo de 5 operaciones exitosas. DARLE UN RESTO después de eso y pasar algún tiempo haciendo
Algo más, GET A LIFE aparte de la negociación.
2. Máximo de 3 Comerciales Perdedores. ¡APRENDA a parar ya superarlo!
1. Tres TOTAL POR SESIÓN.
2. MÁXIMO DE DOS EN UNA FILA, luego a pie y obtener una nueva perspectiva.
1. Stop Las pérdidas deben ser "adecuadas" y eso significa diferentes SL en diferentes monedas. Si te encuentras usando más de 15 pips de manera consistente para el SL, debes refinar tus entradas.
2. Mueva el SL a BE tan pronto como sienta que el comercio no sacará su SL en una "respiración".
3. Un buen lugar para establecer su original SL es Spread + sólo un par de pips por debajo o por encima de la
Anterior "número redondo" o ema que el precio tocó y se alejó de. Asegúrese de incluir la propagación.
4. MANTÉNGALO TIERTO !: Durante un movimiento, mantenga el SL razonablemente apretado. Significado moverlo a la parte inferior (o superior) de la última barra cada vez que uno se cierra hasta que se fuerte con esta estrategia. Esto es especialmente importante con cualquier tipo de barra de P / A que podría indicar una inversión, apriete al cierre de la P / A Barra de inmediato!
1. Aunque no hay un TP específico en esta estrategia, la mejor manera de bloquear los beneficios es mover su SL al extremo de la barra + spread anterior y esperar a que la barra actual se cierre. La única excepción a esto es cuando se aproxima a un nivel de "número redondo" o una EMA más fuerte como las 50 líneas EMA / 35 SMA en un retroceso. Apriete sus paradas en esos niveles como el precio tiene una tendencia desagradable a invertir en ellos. La otra opción, con más experiencia, será salir y
Inmediatamente corto en ese "primer toque" de las 50 líneas EMA / 35 SMA.
2. Si se hace evidente que usted está en un mercado de rango o agitado, sólo sea un poco más cuidadoso y buscar sólo entradas sólidas basadas en los niveles S / R, como los números de la ronda y la restricción de los EMAs de nivel inferior, por lo general alrededor de un " Número redondo "o nivel anterior de P / A o S / R.
3. NO TENGA MIEDO PARA TOMAR SUS PÍPULOS PRIMERO habrá más oficios! Usted no tiene que sacarlo del parque cada vez para ser muy rentable con esta estrategia, y se necesita experiencia para dominar los oficios más largos. Tomar un rápido 20 o así en un movimiento es completamente aceptable y que va a mejorar a medida que avanza el tiempo.
4. Si P / A indica una inversión entre los niveles de "número redondo", ¡salga! Habra mas
5. NFP DAYS (nóminas no agrícolas) aprender a tomar sus pips temprano, incluso si es sólo 10. En estos días
Son extremadamente impredecibles. La semana entera puede ser así, así que ten cuidado en las semanas de NFP.
1. Tenga cuidado al mover su SL de manera demasiado agresiva, pero manténgala no más atrás que la parte inferior (o superior) de la segunda barra atrás de la acción de precio actual y preferiblemente no más atrás que la última parte inferior de la barra.
2. Si usted tiene una barra extremadamente grande, mueva el SL al justo debajo del último "número redondo" que pasó el movimiento del precio de la mirada de la tierra muy de cerca. Si aún no ha superado el nivel de número redondo, pasa a un poco menos del 70% del total de la barra y espera. O bien continuará a explotar o volver bastante rápidamente y sacar su parada. BARRAS GRANDES RETRACE A menudo, así que no
Dude en tomar sus pips antes de que golpea el SL que están arrastrando y utilizar el "número redondo" niveles!
3. Si una barra grande "muertos" en un EMA más fuerte, o un nivel de "número redondo", mueva su SL muy cerca del nivel. Probablemente alrededor de 2 veces Spread o menos y esperar. Si el movimiento es fuerte, continuará y soplará bastante rápido. Si no, sacará su parada.
Distribución / Consolidación de Mercados:
1. Las 50 líneas SMA de EMA / 35 tienen una fuerte tendencia a "enrollar" entre sí ya "aplanar" mientras se pegan unas a otras durante un período de consolidación o de alcance. En los días "que van" usted verá a menudo el precio también el viento alrededor de ellos y le dará la definición
Oportunidades para ingresar a niveles S / R sólidos oa niveles de números redondos a ambos lados de las 50 líneas SMA EMA / 35.
2. Sea muy cauteloso en estos mercados a menos que tenga experiencia con esta estrategia. Esperar señales mejores si no experimentado.
Indicador ford de dpo
Indicador DPO forex dpo.
Cuando el Oscilador de Precios Detrended está por encima de la línea cero, significa que el precio está por encima de su media móvil, normalmente interpretada como signo abultado. Del mismo modo, cuando el Detrended Price Oscillator está por debajo de la línea cero, significa que el precio está por debajo de su promedio móvil, considerado un signo bajista. Hay dos interpretaciones de comprar y vender señales: Indicador de dpo de divisas.
• Índice de Armas o Índice de Comerciantes (TRIN) (Es un indicador de sentimiento de mercado que compara el avance y la disminución de las parcelas y el volumen de operaciones)
Leer más forex dpo indicator
El valor de la SMA de 20 días se resta luego del precio en medio de este período de retrocesión. En resumen, DPO (20) es igual al precio de 11 días menos la SMA de 20 días. El DPO es más efectivo con periodos indicadores de 21 días o menos.
Indicadores de configuración de la tabla: forex-mt4-trend-indicator, laquerre Marco (s) preferencial (es): 1 hora y más Sesiones de negociación. Indicador de oscilador DPO Metatrader 4.
Este indicador admite fuentes de Tick y Bar.
B) Kijun-Sen - la fecha de valoarea medie a preţului in ultimul interval of timp. La intersecţia acestor două linii Senapare semnalul de deschidere a poziţiilor. forex indicador dpo.
Forex dpo indicator. Free para descargar Metatrader 4 lista de descarga del sistema:
¿Es interesante la negociación de pares de alto margen para el comercio a corto plazo? 20 respuestas
Vea el indicador de dpo de forex
• Índice de Acumulación / Distribución (Medición del flujo acumulado de entradas y salidas).
El ADXR difiere de ADX en que es menos sensible a las reversiones rápidas y cortas, ya que da como resultado un cálculo "más suave". Se desarrolló para compensar la varianza de las tapas y fondos excesivos y es especialmente útil cuando se utiliza junto con las estrategias que siguen las tendencias. Las estrategias que se basan en la volatilidad como indicación de movimiento pueden no tener en cuenta que el movimiento no indica necesariamente volatilidad. ADXRprovee información relacionada con la fortaleza de una tendencia, lo que le ayuda a manejar el riesgo de operar en mercados volátiles que fluctúan entre el indicador de dpo de no-tendencias y no-tendencial.
MT4 Indicador Detrended Price Divergence indica divergencia fractal por indicador de precio Detrended. Cuando la divergencia aparece entre Detrended Price y el precio, indica una alta probabilidad de que la tendencia actual termine pronto. Una señal de compra es cuando un nuevo bajo-fractal se forma por debajo de la anterior y un valor de precio Detrended correspondiente es mayor que el anterior. Una señal para vender es cuando un nuevo Up-fractal se forma por encima del anterior y un valor de precio Detrended correspondiente es inferior al valor anterior. El indicador tiene una gran cantidad de configuraciones personalizables.
* TechniTrader análisis técnico utilizando un gráfico de Stockcharts, cortesía de Stockcharts. com
¿Tiene alguna sugerencia o pregunta con respecto a este indicador? Siempre se puede discutir Detrended Price Oscillator con los otros comerciantes y MQLprogrammers en los foros indicadores (forex dpo indicator trade.)
Al igual que con el RSI, las condiciones de sobrecompra (y los precios más bajos por delante) se indican cuando el índice sube por encima de 70. Valores por debajo de 30 indican una situación de potencial de futuro y un mayor precio por delante. Recuerde, al igual que con todos los indicadores de sobrecompra / sobreventa, primero debe cuantificar la moda del mercado forex antes de actuar sobre cualquier señal.
Eine der beliebtesten Estrategia en Forex Trading Síntesis estratégica. Es gibt mehrere Varianten Breakouts es una tienda online de software libre.
Heute besch & auml; ftigen wir uns mit Desgloses nach Dentro de las barras.
Da stellt sich zuerst die Frage:
¿Era sind dentro de barras?
Ein Dentro de la barra de la barra de herramientas de la barra de herramientas de la barra de barras (Au & szlig; enstab), las hei & szlig; t er sombrero ein niedrigeres Hoch und ein h & amp; heres Tief als der Au & szlig; enstab.
Sombrero de la monja de la hermana de la montura de la plantilla de la barra del interior de la barra del hombre, del hombre del kann que se ausgehen, de la marca de fábrica de los corazones en un fondo de la bebida de Konsolidierungsphase.
Bei einem bereits etablierten Trend wird man diese Situación en la que se encuentran los animales en el Trendrichtung nutzen.
Wenn die Kurse sich schon l & auml; nger seitw & auml; rts bewegen, kann der Desglose aus dieser Situación antes de iniciarse Trendphase bedeuten.
Der kleinste Período de tiempo de un aussagekr & auml; ftige Dentro de las barras de la parte superior de la H1, empfehlenswerter sind aber eher H4 oder D1.
Einstiege: Wenn sich nun ein Dentro de la barra gebildet hat positionieren wir uns mit einer Comprar-Stopp bzw. Mit einer Sell-Stopp Orden, & uuml; ber bzw. Unter dem Hoch y Tief des Insidebars. W & auml; hrend einer Trendphase en Richtung des Trends. Dabei ist darauf zu achten, dass der Spread eingerechnet wird um sicher zu gehen, dass der Kurs die Hochs auch wirklich & uuml; bersteigt.
Stopploss: Der SL en la playa y en la parte inferior del mar.
Ausstieg: Der TP sollte immer gr & ouml; & szlig; er als der SL y muss vom Trader selbst festgelegt werden. Am Besten eichen und Wirtschaften und Unterst & uuml; tzungen im Gráfica, aber auch Fibonaccis und Pivotlinien.
En este sentido, se describen los principios del principio y del fin. Este un triunghi dreptunghic avînd o catetă verticala, de la creştere puternica (1-3 lumînări). Cateta orizontală este suportul. Ipotenuza se sprijină pe minim două vîrfuri.
Confirmarea formaţiunii are loc cînd se îndeplinesc condiţiile:
Spargerea suportului sau rezistenţei (ipotenuzei triunghiului)
Închiderea lumînării în afara triunghiului.
Este tipo de cambio es bajista (64% del total de las partidas), sin embargo, no se ha producido ningún daño. Imediat după aceasta, mişcarea este amplă. En el centro de la ciudad, en el centro de la ciudad, la calle principal y la calle principal (36% din cazuri).
Imaginea arată un triunghi descendiente observable en la aceasta perioadă, graficul e chiar de la momentum scrierii acestui articol. (PS Head and Shoulder este válido, dar tardive acum de intrat). Regăsim şi un elemento atipic: beartrap. Termenul în engleză se traduce ca fiind ”capcană pentru urși” și se referă la o spargere a suportului urmata de o revenire la nivelul inițial. Acest fenomen poate determina traderulu să anticipeze o mișcare de tip bear cînd de fapt ea este doar de scurta durată și amplitudine mică. Altfel spus o țeapă. Termenul opus în care prețul schițează o mișcare ascendentă (așteptată și anticipată) dar de scurta durată, revenind la valorile inițiale după scurt timp se numește bulltrap .
Nu există mijloc de a determina dacă un brakeout este capcană sau mișcare sănătoasă. Exista doar prevenție prin limitarea pierderilor cu stop loss-uri. Permanent să fiți conștienți că există posibilitatea ca piața să nu meargă așa cum anticipați.
Făcînd o analiza pe un grafic de EURGBP H1 am observat o inversare a trendului miercuri. Joi dimineața am avut si confirmarea. Aceasta a venit folosind o tehnica – numita 1-2-3 de identificare a schimbării unui trend ( reversal ). Tehnica este descrisă în ” Getting Started in Chart Patterns ” de Thomas N. Bulkowski.
Presupune identificarea a trei puncte cheie: 1 – momentul în care intră în discuție o inversare de trend, locul unde prețul intersectează linia de trend . Prețul urcă pana în punctul 2, pentru ca apoi sa continue pe aceeași direcție sau, de obicei să urmeze o tentativa de întoarcere a cursului – punctul 3 – zona de retest . Dacă se formează punctul 2, revenirea la valoarea acestuia este o confirmare. Din nefericire metoda nu presupune nici o anticipare a amplorii mișcării, pentru aceasta avem nevoie de alte metode de AT.
Căutînd o alta metodă am descoperit o linie de rezistență în jurul valorii punctului 2 și…am descoperit în formațiunea deja analizată un veritabil Inverted Head and Shoulder (Cap și umeri inversat). Chestiune de începător – unui trader rasat probabil asta i-ar fi sărit în ochi de la bun început. Este mai dificil de identificat un Head and Shoulder inversat decît unul clasic. Odată identificată, totul a fost ușor: am marcat neckline (linia gâtului), am măsurat înălțimea capului și am marcat technical target (obiectivul tehnic de preț). Tot Bulkovski zice că ținta adesea nu se atinge, așa încît am intrat long (în baza ambelor analize) și cu TP cam la jumătatea distanței pînă la tehnical target-ul analizei a doua.
A urmat atingerea targetului tehnic, deși de la bun început l-am marcat ca fiind prea optimist. E chiar surprinzător cum, forexul chiar urmează regulile, și o face tocmai cînd aveam o discuție cu un amic despre justificările aplicării analizei tehnice, care are un istoric preponderent în zona bursei nu sunt direct aplicabile forexului tocmai datorita specificului permanent și global al acestuia.
Pe graficul USDCHF H1 se poate observa (chiar cînd scriu aceste rînduri) confirmarea unei formațiuni Wedge ( pană în românește în sensul tehnic nu zoologic).
Wedge poate fi încadrată ca formațiune reversal ( de inversare ) a trendului, atunci cînd se afla pe un trend ascendent, ca în exemplul de mai sus. De asemenea însă poate intra în categoria formațiunilor de continuare a trendului, atunci cînd se află pe un trend descendent. Indiferent de trendul în care regăsim wedge-ul, el este un pattern bearish.
Pentru a fi valid, o formațiune ascending wedge trebuie să se formeze pe un trend precedent ascendent (v. observația de mai sus). Linia de rezistență trebuie să aibă minim 2 vîrfuri de sprijin, ideal 3, fiecare mai înalt decît precedentul. Linia de suport trebuie să aibă cel puțin 2 văi, fiecare mai înaltă decît precedenta. Ambele linii au deci un traiect ascendent, cu tendința de a se apropia una de cealaltă. Pe măsură ce formațiunea se maturizează, parcursul ascendent dintre cele doua limite se scurtează, suportul devine din ce mai pregnant, în timp ce rezistența nu face față cu creșterea suportului. Prețul nu mai crește în reprize atît de viguroase, sunt mai mulți cumpărători dar numărul vînzătorilor nu crește proporțional. Se ajunge astfel la o acumulare, o zona de compresie, moment în care prețul colapsează.
Formațiunea confirmă inversarea trendului după ce este evidenta spargerea (brakeout) liniei de suport. Uneori (și în exemplul nostru) poate exista o reacție de retestare a noii rezistențe găsite post-brakeout.
Formațiunea este mai greu de identificat și folosit, mai ales atunci cînd este una de confirmare tocmai datorita faptului că, în cadrul penei trendul este el însuși ascendent. Scăderea momentum - ului în zona superioara denotă o tendință bearish, cu toate că trendul este crescător pe parcursul penei. Spargerea suportului arată că urșii au cîștigat lupta și sunt mai probabile prețuri mai mici. Nu există modalitate de a prezice prețul țintă. Pentru aceasta trebuiesc folosite alte mijloace de AT.
Absenta articolelor de pe blog s-a datorat în mare măsură testării unei noi strategii de trading. Am să încerc să o prezint. Am abordat-o deoarece este ușor de înțeles și (am crezut eu) ușor de aplicat.
Strategia se bazează pe un indicator numit GMMA (Guppy Multiple Moving Averege). Deși unele pachete de analiză tehnică îl includ, MT4 nu o face. Cu toate aceste este ușor de compus, am să vă arat cum. Autorul indicatorului este Daryl Guppy, unul dintre cei mai apreciați și influenți traderi australieni. Autorul a mai multe cărți de trading, corespondent CNBC, etc. etc. Pe scurt: în mare vogă acum.
Indicatorul se bazează pe două benzi formate din cîte 6 medii mobile exponențiale. Banda ”rapida” este formată din EMA de: 3, 5, 8, 10, 12, 15 lumînări. Banda ”lentă” este formată din alte 6 EMA de: 30, 35, 40, 45, 50, 60 lumînări.
Pentru a înțelege modul de lucru, trebuie menționată asocierea pe care o face autorul cu aceste grupuri de linii. Primul grup îl reprezintă traderii sau speculatorii din piață. Adică cei care cumpără și vînd pe termen scurt (day-trading, intraday, scalpers), care se mișcă rapid și care profita de pe urma micilor mișcări ale cursului.
A doua bandă, cea ”lentă” reprezintă investitorii. Aceia care cumpără sau vînd în baza unor analize pe termen lung și pe care nu-i afectează ”zgomotul” din piață. În interpretarea autorului, aceștia sunt cei care au pondere mai mare ca importanță în piață, și care de fapt formează trendul.
Este important de analizat relațiile ce se stabilesc în cadrul fiecărui grup . Se consideră că prețul a ajuns la o valoare acceptabilă pentru participanți atunci cînd se observă o compresie în cadrul grupului. Prețul este într-un tunel. De regulă compresia este urmată de dispersie . Aceasta este expresia formării unui trend.
De asemenea se urmărește relația (distanța) dintre cele două grupuri . Momentele cînd acestea se intersectează sunt incerte ca evoluție a prețului. În cazul unui trend sănătos, puternic, indicatorul arată corelarea pe o anume direcție a ambelor grupuri. Trendul este cu atît mai puternic cu cît există dispersie în cadrul fiecărui grup și separare intre cele două grupuri. Se zice atunci că ”traderii au suportul investitorilor”.
Indicatorul permite identificarea unui trend puternic și am avut intrări în momentul identificării unui trend incipient (, imediat dupa compresie anticipînd dispersie și separare – mai riscant) sau a unuia deja confirmat de dispersie și separare. În cartea sa ”Trend Trading”. Guppy menționează că indicatorul a fost dezvoltat pentru intervalul de timp daily . Cu toate acestea, după unele teste pe valori istorice, consider că poate fi folosit și pe alte intervale de timp. Pentru studiu am folosit D1, ceea ce a oferit avantajul de a nu urmări permanent graficul, dar care necesita o perioada mai mare de tip pentru tragerea unor concluzii.
Pe graficul de mai sus am atașat în plus orientativ și un EMA de 200. Unii traderi susțin că e mai probabil profitul dacă intri în piață în momentul cînd cursul se îndepărtează de EMA200. Experiența personală nu susține asta. Săgețile marchează momente de intrare/ieșire, astfel: se intră atunci cînd se observă apariția dispersiei în cadrul ambelor grupuri și, concomitent, separare între cele două grupuri. Se iese la apariția compresiei în banda grupului rapid și, concomitent, suprapunerea chiar și parțială a grupurilor. De regulă EMAde 3 si 5 intră peste grupul lent, urmate la o oarecare distanta de celelelte din grupul rapid.
Nu mă mulțumește semnalul de ieșire. Trebuie căutat un alt semnal de ieșire pentru maximizarea profitului, deoarece pe D1, EMA3 este totuși, cam lent. Trei zile pot însemnă mult cînd vorbim de Forex.
O tentativă a fost recurgerea la analizarea intervalelor de timp mai scurte, H4 și H1. Din nefericire GMMA pe acestea arată total diferit, informațiile pot fi de natură să bulverseze modul în care e gîndită strategia, pe aceste intervale intrările și ieșirile sunt cu totul altele și mai degrabă contrazice decît sprijină strategia inițiată pe D1.
Într-o primă etapă am avut rezultate spectaculoase. Ulterior însă strategia nu a mai dat roade. Sunt însă convins că eficiența sa depinde de modul de înțelegere și că poate fi o unealtă de preț. Și orice unealtă depinde de cel care o mînuiește.
Citeam undeva că cel mai bun exercițiu de Forex este să-ți probezi strategia pe un grafic istoric. Și mai zicea autorul (Rob Booker, cred) că dacă platforma ta nu suportă avansarea cu cîte o singura lumînare e timpul să schimbi platforma. Eu folosesc Metatrader4, dar nu știam de această facilitate și deși sunt cel mai familiarizat cu MT4, iată-mă privat de ”cel mai bun exercițiu de Forex”. Pînă cînd am văzut-o pe un tutorial pe un site de videosharing. (nu dau nume cum ar fi Youtube. com)
Pentru avansarea cîte o lumînare înainte, se apasă F12. Ca graficul sa nu se deplaseze automat la cea mai recentă lumînare, trebuie să fie dezactiva butonul Auto scroll (butonul cu triunghi verde de pe bara de unelte).
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It’s been close to 2 yrs which i ‘m utilizing MBFX Timing Indicator as well as attaining achievement upon H4 as well as main sets. I’ve additional a good notify in to unique program. I’ve utilized an easy notify however it’s not sufficient personally, simply because I personally use another techniques to verify the actual transmission prior to admittance. With this altered edition notify, once the candlestick shuts within yellow-colored, so when this merely becomes yellow-colored, this doesn’t instantly near for the reason that colour. It’s my job to make use of pattern collection in order to confirm the actual admittance as well as examine the actual pattern upon D1 too. For me, you are able to proceed as little as the 15min time period, simply need to reduce your own revenue focuses on.
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Regarding eco-friendly as well as red-colored outlines:
Notify might state regarding “level 1 green/red” or even “level two green/red” based on which it’ll contact.
Regarding yellow-colored Timing: Presently there will be a choice to create a choice should you acquire a good notify when the candlestick shut within yellow-colored, or even this merely switched yellow-colored, however didn’t near for the reason that colour.
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It’s not very hard in order to develop the binary trading options technique for those who have experienced a few prior encounter within buying and selling foreign currencies, goods as well as share indices. They are exactly the same property which are experienced within the binary choices marketplace. If you may develop the forex currency trading technique to industry these additional property, you are able to alter this type of technique for use within the actual binary choices marketplace. Additionally, unique treatment should be come to develop the System with regard to environment expiration occasions as well as times precisely.
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Touch: An agent which is ideal for this particular System is actually Banc de Binary, among the biggest as well as most secure agents on the planet. Click the link to begin buying and selling from Banc de Binary! The actual MBFX buying and selling System had been initially invented through Mostafa Belkhayate for that foreign exchange marketplaces. Nevertheless, the actual technique may be used within the binary choices marketplace. The fundamental theory from the MBFX buying and selling System is actually having the ability to identify possible marketplace covers as well as underside, in order to market in the covers and purchase in the underside. The actual technique may be used of all foreign currency sets as well as of all period structures. The very best answers are observed about the 4hour time period. The actual sign is actually shown collection within an sign eye-port beneath the actual graphs. The actual foreign currency power meter exhibits a number of outlines which match assistance as well as opposition pivot factors. Following using the actual foreign currency meter towards the graph, determine when the foreign currency resource details the actual eco-friendly outlines and also the red-colored outlines about the graph as well as determine when they go back to the actual azure collection in the centre. Just foreign currency sets that may do that ought to be exchanged using the MBFX System.
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Este es realmente el mejor DIARIO (D1) Forex Trading System & # 8212; No realmente la búsqueda de un número increíble de pips aquí, simplemente grandes ofertas de probabilidad junto con gran ganancia / porcentaje de pérdida.
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Time-frame: D1 Foreign currency: EURUSD (need to try other people! ) Check time period: 01/2013 — 08/2014 Come back: 1542 pips
16 Es victorioso 5 Deficits 69% Gana
The actual System 1. EMA4 as well as 8 positioned on MACD 12, twenty six, 9 utilizing prior sign information (on your own marks) 2. EMA twenty one positioned on graph with regard to pattern confirmation (get set) 3. Pullback candlestick with regard to marketplace admittance as well as ATR SL/TP information (go)
Costo cercano asociado al candelabro pullback +/- ATR * 1. 5 se puede utilizar para determinar la reducción de cese, así como considerar los ingresos. Alrededor. 1: 1 incentivo de peligro. (Todavía comienza asociado con la prueba).
Una vez que el candelabro pullback está realmente cerca de la EMA21 el peligro es realmente mayor por lo tanto, considere extrema precaución. Por otra parte EMA21 con frecuencia suministrará soporte / resistencia. Nos dimos cuenta de que el actual ATR 1. 5 con respecto a la reducción de cesación parece demasiado grande, así como ATR 1. 5 con respecto a considerar los ingresos es realmente muy poco. Sin embargo, soy tradicional que no toma en cuenta escalar de trabajos así como arrastrar cese y así sucesivamente.
Sin embargo, la actual cesación de la reducción de los requisitos ATR unos pocos cambios Creemos ..
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StrategyQuant Products Documentation and Knowledge Base
Strategy Building Process (forex)
Building a profitable EURUSD strategy
by Mark Fric In this article I'll explain the complete step-by-step process of building a profitable, robust strategy for EURUSD, including multiple steps of different robustness tests . There is also another variation of this article about Strategy Building Process for E-Mini S & P 500 Futures.
When using machine learning techniques such as genetic programming the most important part of strategy building process is testing strategy for robustness to ensure that it is not curve-fitted to historical data. I use double OOS filter plus Robustness Tests plus Walk-Forward Matrix test.
Este es el resultado
For motivation I post results of one of the two nice performing strategies for EURUSD that I found using the process described below. I'm already testing both strategies on a demo account and they will be moved to a live account once they prove the performance.
The strategy above is published on our forum (only for licensed users of StrategyQuant) here: http://www. strategyquant. com/forum/topic/55-eurusd-m30-1000-strategie/?p=2285 available for download.
Inputs
The only inputs I use are my expectations of the strategy - I want to build a strategy for EURUSD that is profitable and has as little drawdowns as possible. I want the strategy to be robust enough so that it works also on other symbols (GBPUSD) and I want it to pass Walk-Forward Matrix test to make sure that reoptimization works on this strategy.
Strategy building process
Generating a big pool of potential candidates
In the first step I simply have to generate large pool of potentially "good" strategies that I'll test for robustness later. I want my all initial strategies to be profitable and robust (to some extent), so I employ several filters also in this first phase.
My settings for this step You can download the settings I use in this step using the link below. Click on the link with right mouse button and choose Save link as. Then in StrategyQuant use Load settings to load this settings file to the program.
Settings explained First of all, I generate all my strategies on multiple symbols. My goal is to find a good strategy for EURUSD, but I want my strategy to be robust - so I want it to be profitable also on GBPUSD. I add GBPUSD to the additional data, so now the strategy will be tested on both symbols.
I'll use data from 1.1.2007 to 30.6.2011, which is 4 and half years. The rest of the data will be left for further OOS testing later.
I'll use Genetic Evolution mode. The idea is to make a population of 200 strategies, evolve them during 30 generations and then start again from scratch. This way I'll avoid running into a dead end during evolution and the best strategies are continually stored to Databank. You can also see that the only condition for initial population is that it must make at least 100 trades. It doesn't need to be profitable - genetic evolution should be able to improve it.
The last important piece of setting is Ranking options. I set Databank to store 2000 best strategies, because I want to have a good base for further selection process. I also set the selection criteria to Return / Drawdown ratio - this is my favorite. You can use other selection criteria, perhaps you'll get better results.
Othe of the most important things is to set the initial filter criteria for strategies in Databank. I want to consider only strategies that are at least $2000 in profit, have Return/DD ratio > 3, at least 300 trades AND Return / DD ratio of a portfolio to be at least 2.5.
Because I'm testing the strategies on two symbols - EURUSD and GBPUSD, the portfolio results for the strategies will be also computed. Using this condition I simply specify that the portfolio performance won't be much worse than performance on only EURUSD, and the program will dismiss all strategies with bad portfolio performance.
Now we just have to hit the Start button and let the program do the work. Remember, we want to generate at least 2000 "good" strategies before we'll continue with the filter process.
Depending on the settings and speed of your computer it could take several hours or even days, so be patient. If the program doesn't produce any strategy for a very long time, perhaps we should switch to a higher timeframe - H4 or D1, or decrease the constraints.
1. First filter - Out of sample (OOS) check
When I have 2000 potentially good strategies in the Databank, I'll stop the generation and start filtering process. I'll apply the first filter - by removing all the system that have bad Out of Sample performance. I can do it quickly, just by sorting the strategies in Databank and deleting the ones that have OOS profit smaller than $500.
This first step usually removes a big portion of strategies, so from initial 2000 candidates we are down to around 1500.
2. Second filter - retesting and second OOS check
In this step I'll retest all the strategies using the 1 Minute precision on the unknown Out of Sample period. I used Selected timeframe precision in the Build stage to make the tests as fast as possible, but before further evaluation I want to ensure that backtests are really reliable, so I retest all the strategies with higher precision.
Retesting the strategies is simple - I'll just select all the strategies in the Databank and click on Retest button. This will move all the strategies to a Retest tab. I'll also confirm dialogue asking if it should use the build settings for Retest
I'll then extend the data period to the end of available data. Strategies were generated on data from 1.1.2007 to 30.6. 2011, I'll now retest the strategies on data until 30.6.2013 and set Out of Sample period from 2.7.2011 to 28.6.2013. Note that this will retest the strategies on new unknown part of data, and the OOS part will show the strategy performance during the last year and half.
Because I have also another source of EURUSD historical data (free data downloaded from Dukascopy) I'll add them to additional data to compare the performance on both EURUSD data sources.
The test could take some time and after it is done I'll once again remove all the system that have bad Out of Sample performance. Again I can sort the strategies in Databank by Net Profit (OOS) and delete the ones that have OOS profit smaller than $500.
3. Third filter - GBPUSD check
In this step I'll check performance of the strategies on GBPUSD symbol. I'll go to Results -> Equity chart, switch chart to GBPUSD/H1 or to Portfolio and go through strategies one by one looking at the chart for GBPUSD.
I'll consider only strategies that show at least some profitability on GBPUSD. The equity curve doesn't need to be perfect, but it should be growing without extreme drawdowns.
This filter is very though - we'll usually find only a few strategies that pass this test. So from initial 2000 we are usually down to 5-15 strategies.
4. Fourth filter - Robustness tests
After removing all the strategies with bad GBPUSD performance there are less than 10 strategies left that have good IS and OOS performance, as well as satisfactory performance on GBPUSD. I'll now retest strategies again with Robustness tests and Money Management to see how each of the strategies handles small changes in inputs and to be able to compare the strategies to each other.
I'll change money management from fixed size to fixed amount, letting every startegy risk $100 per trade. This allows for better strategies comparison, because they risk the same amount per trade.
In Robustness tests I use at least 20 simulations and test the strategy for all types of stress situations. After configuring the robustness test I retest the strategies again. This time it will be fast because there are only few strategies left in the Databank.
How to evaluate Robustness tests Robustness tests show us how the strategy can behave in reality, when there are missed trades, different history data etc. I'm looking for strategies that have acceptable values for Net Profit and Drawdown in 95% confidence level.
In the example above we can see robustness results for two strategies. Strategy on the left has profit in acceptable level, but drawdown more than doubled compared to original result. Strategy on the right has also profit in acceptable level and drawdown was almost unchanged.
In this step I'll choose only 1-3 final strategies that will be subjected to next test of robustness. These final strategies are selected by the best results in robustness tests, overall profitability an dalso simplicity - I want the strategy rules to be as simple as possible, and trading rules should make some sense.
5. Fifth filter - Walk-Forward Matrix test
We are left with a few strategies and we can run the ultimate test for robustness - Walk-Forward Matrix test. WF Matrix is simply a matrix of walk-forward optimizations with different number of runs and run periods.
If the strategy passes Walk-Forward Matrix test it means that with the help of parameter reoptimization the strategy is adaptable to a big range of market conditions AND also that the strategy is not curve fitted to particular data - since with reoptimization it works on many different time periods.
In addition to this WF Matrix test also tells us if the strategy should be permanently reoptimized and what the most optimal reoptimization period is.
Walk-Forward Matrix test has to be done for every strategy separately. I'll load my strategy to Optimizer and select Walk-Forward Matrix option. I'll also select steps for runs and OOS percentages. StrategyQuant will go through all these combinations, performing Walk-Forward optimization of the strategy.
Setting parameters for optimization For optimization to make sense you have to set the strategy parameters that will be optimized. Each strategy uses different logic and has different parameters, so you have to configure the optimization differently.
This strategy is relatively simple, so I'll optimize only Stop Loss value and stop trailing coefficient. It is not necessary to optimize all parameters, only these that have the biggest impact on strategy performance.
Now I can start the WF Matrix optimization. This could be a long process that could take several hours - depending on settings and number of steps and parameters optimized and the speed of your computer.
Evaluating Walk-Forward Matrix When optimization finished, I'll click on the Walk-Forward matrix result in Databank to see the details.
The final result is that the startegy passed Walk Forward matrix test for robustness. The 3D score chart shows us that 16 out of 24 combinations passed our criteria (default settings used). The strategy doesn't need to pass for every combination, I'm looking for 2x2 or 3x3 area that has most of the combinations passed - this will be the group of best reoptimization combinations. In this case, I can see that 10 runs with 30% Out of Sample is one of the best combinations, because it is surrounded by other combinations that also passed.
When I check the Walk-Forward optimization chart I can see that the strategy remains profitable also during reoptimization.
Walk Forward Matrix gives me also another important information - how often should we reoptimize the strategy? For our selected combination of 15 runs with 30% Out of Sample:
Resumen
I described my complete process of working with StrategyQuant, which led to few interesting new strategies. You can try it yourself, take inspiration and possibly improve the process with your own ideas which you can share on our forum .
Possible improvements of the process - you can try to look for strategies separately for long and short direction. Every direction has its own dynamics, and different strategies for long and short could return better results. I didn't mention Improver - it is a powerful tool that allows you to look for better variation of your existing strategy, if you are still not satisfied with the performance.
Just keep in mind - the point is not to find strategy that is perfect on historical data. This is a recipe for disaster, because overly optimized strategy is guaranteed to fail in real trading. Our goal should be to find a strategy that is robust across different data and/or symbols, because this means it has real edge over the market.
Posted - Wed, May 6, 2015 at 2:47 AM. This article has been viewed 392 times. Filed Under: StrategyQuant Blog
Manual Grid Forex System Review
In this post, I am going to share my manual grid trading system . The technique involves two Signs which give the access signals. It is a type of OBOS. If I take a business and it goes against me I will hang on for another indication and get into in the same route of our first purchase, I keep on starting new purchase whenever there is a new signal while industry goes against my past order’s and then near all at a gift bag of 100pips.
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I have been dealing this Program for two several weeks now and i have only had to begin just one Lines purchase due to the access precision. But if factors goes out of side we will then have protect. Our first indication which will provide us the OBOS (Over bought/sold) is TMA, we don’t need to fear about the repainting (hardly repaints on everyday TF), what we want from this indication is for cost to touch/cross either the higher or reduced tma group, after that we then begin to look for access indication with “Indicator 2” which is PA (Reversal Pin cafes, Immerse Bars, etc).
Once a signal is identified we will use awaiting purchase.
Indicator 1: TMA
Indicator 2: PA (Price Activity, candlestick keep formations)
TP: 80 to 100 pips
Max Lines order: 3
You are most welcome in our blogs and feel free to leave your valuable comments.
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It’s been close to 2 yrs which i ‘m utilizing MBFX Timing Indicator as well as attaining achievement upon H4 as well as main sets. I’ve additional a good notify in to unique program. I’ve utilized an easy notify however it’s not sufficient personally, simply because I personally use another techniques to verify the actual transmission prior to admittance. With this altered edition notify, once the candlestick shuts within yellow-colored, so when this merely becomes yellow-colored, this doesn’t instantly near for the reason that colour. It’s my job to make use of pattern collection in order to confirm the actual admittance as well as examine the actual pattern upon D1 too. For me, you are able to proceed as little as the 15min time period, simply need to reduce your own revenue focuses on.
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Regarding eco-friendly as well as red-colored outlines:
Notify might state regarding “level 1 green/red” or even “level two green/red” based on which it’ll contact.
Regarding yellow-colored Timing: Presently there will be a choice to create a choice should you acquire a good notify when the candlestick shut within yellow-colored, or even this merely switched yellow-colored, however didn’t near for the reason that colour.
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Mensaje de navegación
The main reason behind the actual website is always to stress on one of the most present signs in addition to continuous expert specialists that will assist create probably the most income through forex forex trading. Most of us concentrate on offer you the very best information about these kinds of Foreign currency assets. You may even acquire suggestions directly with the Foreign currency professionals! Recently, SSA is really improved together with Normalized End-pointed & Notify Sophisticated. It might be useful for several time-frame. In my opinion it might produce a big income. You’ll be able to set up this particular to be able to 8 quantities. This particular enables you to have the notices on downwards downward slope as well as notices on quantities goes by throughout.
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You may even take advantage of SSA inside Zorro. You have to open the particular SSA carry out within the DLL, and provide this particular while using price info this wishes. I’ll include the particular DLL record next submit separately to ensure extra clients might replicate the particular software program without any trouble. You’re nearly all urged inside our blogs in addition to sense liberal to go away your personal helpful comments on SSA Normalized End-pointed & Notify Sophisticated. Most of us cordially consider your personal suggestions.
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The marketplace, just like a pendulum, is really a endless series associated with extreme conditions. This permanently attempts to achieve the actual imply however in no way works, continuously overshooting it´s tag, curing as well as attempting this once again however usually faltering to achieve stability. This technique efforts in order to catch individuals extreme conditions. It’s a compendium associated with my personal knowledge of the marketplace, delivered to it´s easiest phrase.
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The actual concepts aren’t complex. The very first Indicator, the actual TMA exhibits all of us the typical from the route how the cost motion on the market is actually subsequent. As a result, it’s a backward searching Indicator as well as efforts to look for the long term in the current background. This adjusts by itself through repainting by itself. It’s 2 external rings which display all of us the actual external limitations associated with cost motion that people are looking for. The 2nd Indicator, the actual TMA Slope Indicator may display all of us the actual family member alter within the Slope associated with TMA when compared with prior candle lights. This decides by which path the industry should be positioned as well as exhibits divergences in order to cost. For instance, in the event that cost is actually increasing however the Slope Indicator is actually shedding, it’s launching a higher likelihood of the decrease within cost soon. The actual higher the actual decrease within the Indicator the larger the actual likelihood of the decrease within cost. Exactly the same idea is applicable backwards regarding the shedding cost along with a increasing Slope Indicator. Another utilization of the actual Slope Indicator is perfect for divergence recognition. Should you observe two or three eco-friendly mounds, every scaled-down compared to 1 prior to this, there’s a powerful probability which cost is all about in order to decrease. two or three Red-colored mounds, every scaled-down compared to 1 prior to this, signifies a higher likelihood of the cost increase. About the correct aspect from the Slope Indicator you will notice the worthiness (grey) from the present graph time period. Over this the actual Slope worth from the D1 time period as well as beneath the actual industry standing (Ranging, Purchase Just or even Market Only) from the present graph TF. The 3rd Indicator is actually TMA Slope MTF which provides all of us the actual Slopes of 3 period structures. The ultimate Indicator provides all of us the actual D1 Slope ideals of foreign currency sets. An excellent device to find out that sets tend to be feasible deals. MTF TMA: Contained in the themes tend to be 3 TMA Indicators. The actual H4 TMA (dotted green lines), the actual D1 TMA (dashed azure lines) and also the W1 TMA (dashed eco-friendly lines). Just about all 3 is going to be noticeable on the M15, H1 or even H4 graph. The actual H4 time period tend to be with regard to deals of just one in order to 5 times as well as possible obtain associated with 170 in order to two hundred and fifty pips. The actual D1 time period tend to be with regard to deals associated with 5 in order to thirty days as well as possible obtain associated with two hundred in order to four hundred pips. Should you arranged the actual graph in order to D1, you’ll just begin to see the D1 as well as W1 TMAs. Should you arranged the actual graph in order to W1, you’ll just begin to see the W1 TMA. If you’re a brief phrase investor, a great option choice would be to include the actual H1 TMA as well as make use of the additional 3 ( H4, D1, W1) with regard to pattern path. Getting a number of TMAs on a single graph is very ideal for identifying lengthier time period developments as well as mixed, they’ve higher predictive worth associated with long term marketplace techniques.
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I’m asking yourself in the event that anybody understand associated with where you’ll get these two with regard to MT4 however I’d like these phones end up being adaptive as well as in a position to end up being modified to match. Exactly what I’m seeking would be to pull these two Channels on the 1h graph however to allow them to be achieved on the 20 day time time period. Therefore the 20 day time Channel however put in place on the 1h graph.
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I’ve observed types which let me select time period, however do not let changes to match. Basically select 20 like a time period as well as change in order to 1h graph, this appears naff. Basically select 480, that is 20 buying and selling times by twenty four hours, additionally, it appears incorrect. The conventional types within MT4 don’t proceed to dynamically to another candlestick, but rather associated with stick to exactly where they’re positioned. The actual connected ‘Center of Gravity’ indy and building plots the polynomial Regression Channel. It is the nearest indy for your necessity which I am presently conscious of. Information on it’s parameter configurations right here. It will progress along with cost, a minimum of so far as I am conscious. If you would like the actual Channel to incorporate the final D days’ information with an by the hour graph, after that you’d probably have to arranged bars_back = Nx24, however this particular (like MT4’s LR as well as SD studies) may piece the Channel while using H1 information arranged, instead of the actual D1 arranged. There is exactly what seems the MTF edition from the indy within publish #20 from the connected line, that might circumvent this particular for you personally, however I have in no way examined this.
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Forex price action analysis – December 2nd 2014
In today's Forex price action analysis we will look at a few pairs, starting with GPB/USD. If you want to see my support and resistance areas for these pairs, please check out the support and resistance areas section.
GBP/USD Analysis
We have already had a trade on GBP/USD this week. The first candle of the week gaped up by around 10 pips on the four hour chart. After the gap, price fell back down to our 1.5620 support area and formed indecision.
This lead to a pretty awesome trade which you can see in the image below.
The 1.5620 support area has proved to be quite strong. Price is heading to the area right now. I will be looking to take a long reversal if we see indecision forming on the 1.5620 area. If price drops down to the 1.5540 area, I will also be looking to take a long reversal trade.
What about short trades?
Well, if price makes it's way back up to the 1.5720 I will be looking to take a short reversal. I am also keeping an eye on the 1.5820 area for short reversals.
GBP/AUD Analysis
GBP/AUD has been a very good pair to trade recently. However, this week it has been stuck in a boringly tight range. Regardless, I will still be looking for some trades from this pair. In the image below, the red highlighted areas show resistance, the green support.
I will be looking for short reversals from the 1.8540 and the 1.8660. I will be looking for long reversal from the 1.8370 and the 1.8240 areas.
Please keep in mind that the indecision currently sitting on the 1.8540 is not valid. An indecision candle is only part of a valid set up if there is a preceding trend. The current indecision candle has no preceding trend.
If you want some more clarification on this please check out my free price action Forex strategy .
AUD/USD Analysis
AUD/USD has also been a great pair to trade in recent weeks. Currently I do not have area lower than the 0.8430 for AUD/USD. I may add some soon, so keep an eye on the support and resistance section.
For AUD/USD short reversal I will be monitoring the 0.8510 and 0.8590 resistance areas. For long reversal trades I will be looking at the 0.8430 support area.
¿Alguna pregunta?
I may be doing some additional analysis on more pairs late on in the week.
I hope you found this analysis useful, if you have any questions please ask using the comment form below.
I think a lot of the talk about stop hunters comes from bitter trades who lose because they do not know how to trade. Instead of blaming themselves for their bad decisions, they concoct stories about evil brokers hunting stops. Dishonest brokers definitely do hunt stops. However, if you register with a well regulated broker in a country with strict regulations… you will be fine.
My stops vary anywhere between 20-80 pips depending on the pairs and the location of support and resistance. Once price has started to move away from an area of support or resistance, it rarely pushes back to that area with any force.
Extending my stops to 100 pips based on unverifiable stories from inexperienced traders would be useless and harmful.
Hi Nick, I don’t know if you agree with my trade but i’m in EUR-CAD short since yesterday. Enetered at 1.41846 with first target at 1.41414 and latest target at 1.4087. I’m sending you this message just for call your attention on that setup if you think it’s a good one for a case study.
Thanks for your works, i really appreciate that.
Hi nick, thank’s for the set up, i’m a price action trader which i base my analysis on daily time frame only, the worst part of it is that i may wait for good 2 weeks without seen any setup to trade, even i may see a setup at times but to exit it on loss, i come across your website and i attended the last day of your recent blitz and this open my eyes to some of the setup that form on my platform and i took the setup on gbp/usd which i exit on over 50pips profit withing short time. im now watching eur/jpy on 4hr going towards support looking to going long from the support if possible set up appearS. please i want to learn more from you. THANK’S AGAIN. SAFE TRADING.
KING KOLAWOLE says:
Thanks for the chat formation secret you have made me to remain more confidence on my trading strateges. Is very similar.
David baker says:
Hi nick, how confident are you that someone else could make a full time living from forex using your strategy, assuming they have the right mind set to trading and totally understand risk management?
I appreciate this is a difficult question to answer but I like to think I could do it based on my betfair trading I’ve done for the past 2 years.
Ben Walker says:
Great article Nick, it’s good to see these quick analysis posts back.
All the best mate, I hope England is treating you well.
07:45 CHF Stopa bezrobocia (MAY) 3,1% 3,1% 07:45 CHF Stopa bezrobocia (MAY)3,2% 3,1%
08:00 JPY Eco Survey Watchers: Current (MAY) 56.0 56,5 08:00 JPY Eco Survey Watchers: Outlook (MAY) 56.6 57.8
09:15 CHF Sprzedaż detaliczna (Real) (r) (APR) -0,9%
10:30 EUR Euro-Zone zaufanie inwestorów Sentix (czerwiec)-11,3 -15,6
11:00 EUR Włoski Produkt Krajowy Brutto (r) (1 kw. F)-2,3% -2,3% 11:00 EUR Włoski Produkt Krajowy Brutto (QoQ) (1 kw. F)-0,5% -0,5%
14:15 CAD Housing Starts (MAY)179.1K 174.9K
15:50 USD St Louis FED Bullard przemawia w Montrealu
20:00 USD Fed Southeast New Economy Meksyk Conference
". wyniki z przeszlosci wcale nie daja gwarancji zyskow w przyszlosci".
Re: Z nedzy do pieniedzy. )
10 cze 2013, 08:21
Today’s orderboard (10.06.2013)
EUR/USD: Bids 1.3160/70 possible sell stops through 1.3150, but more bids seen from 1.3130 down to 1.3100, the 100 day MA within at 1.3103. Likely sell stops below ahead of tech supp 1.3070/80 (tenkan line 1.3071). Offers from 1.3230/40, 1.3275/85 (Fri high 1.3284) and 1.3300/10. Strong tech resistance above at 1.3342 (61.8% of 1.3711-1.2745)
GBP/USD: Bids 1.5490/10. sell stops below ahead of bids 1.5435/50 and 1.5390/10. Likely sell stops through 1.5380 (June 6 low 1.5384). Offers 1.5555/65 and 1.5600/10 (1.5606-50% 1.6380-1.4832). buy stops suggested through 1.5615 ahead of tech res 1.5675/85 (June 6 high 1.5685).
EUR/GBP: Bids 0.8475/80 (61.8% of 0.8398-0.8599 fall – 0.8475), possible sell stops below ahead of bids 0.8450/55 and larger 0.8420/30. Offers 0.8515/20, offers 0.8535/50 (tenkan line 0.8538 and 100 day MA 0.8545), buy stops above ahead of offers 0.8575/80 and 0.8595/05 (cloud top 0.8607), possible buy stops above through 0.8610.
USD/JPY: Offers 98.30/50 (fibo level 98.35, 38.2% of 103.73-95.02). buy stops above through 98.50 ahead of tech res 98.77 tenkan line, offers 99.10/20 and tech res 99.35/50 (99.38 -50% of same move, 50 day MA at 99.42, Thursday’s highs around 99.47). Bids 97.50/60, tech supp 97.31 (daily cloud top) and larger bids 97.00/10
EUR/JPY: Offers 129.90/00 (Asian high 129.98), buy stops above ahead of offers 130.65/75 and 130.90/10 (131.08-21 day MA). Buy stops above ahead of offers 131.40/50. Bids 129..20/30 and 129.00/10 (tenkan line 129.09), sell stops below ahead of bids 128.65/75 (55 day MA 128.66).
AUD/USD: Bids 0.9385/05 (0.9388-Oct 2011 lows) sell stops below ahead of tech supp 0.9350/60 (lows 17/20 Sep 2010). Offers 0.9450/60 and 0.9490/00, buy stops above ahead of offers 0.9565/75 and 0.9590/00 (tenkan line 0.9593)
". wyniki z przeszlosci wcale nie daja gwarancji zyskow w przyszlosci".
10 cze 2013, 19:09
andy11 pisze: Usd/Jpy
wykres H4: tworzy sie prawe ramie ORG. jesli cena dojdzie do poziomu 100,46 i dokona korekty do poziomuu 98.86 i stamtad sie odbije to az strach pomyslec gdzie wyhamuje.
Nie jestem przekonany co do tego oRGRa. Tzn w kilkunastodniowym terminie i tak liczę ja pionowy start jak to ostatnio często bywało, ale póki co nie napawa mnie optymizmem ten górny wick na h4 to też wyszedłem z tej pary żeby zgarnąć pipsy. Jutro nad ranem zobaczymy co dalej, ale longi w grze tak czy siak
Do pakietu jeszcze cad/jpy mi ładnie wygląda, celowałbym ponad ostatni szczyt na D1. Co Ty na to?
A jeśli chodzi o audusd to przegapiłem go jakoś, a teraz się szczerze powiedziawszy boję się cokolwiek robić.
10 cze 2013, 19:48
andy11 pisze: Usd/Jpy
wykres H4: tworzy sie prawe ramie ORG. jesli cena dojdzie do poziomu 100,46 i dokona korekty do poziomuu 98.86 i stamtad sie odbije to az strach pomyslec gdzie wyhamuje.
Nie jestem przekonany co do tego oRGRa. Tzn w kilkunastodniowym terminie i tak liczę ja pionowy start jak to ostatnio często bywało, ale póki co nie napawa mnie optymizmem ten górny wick na h4 to też wyszedłem z tej pary żeby zgarnąć pipsy. Jutro nad ranem zobaczymy co dalej, ale longi w grze tak czy siak
Do pakietu jeszcze cad/jpy mi ładnie wygląda, celowałbym ponad ostatni szczyt na D1. Co Ty na to?
A jeśli chodzi o audusd to przegapiłem go jakoś, a teraz się szczerze powiedziawszy boję się cokolwiek robić.
1) na to sie zanosi. a jak bedzie to zobaczymy (wszedlem w LL bardzo nisko na tej korekcie wiec mnie nie boli. )
2)wiesz cena mocna spadala w dol od poczatku Maja wiec korekta spadku sie nalezy ale czy pojdzie mocno w gore. niby wielkie fundy graja na LL. aleale. zawsze moze sie znalesc ktos inny co namiesza.
3)wszedlem wysoko i trzymam caly czas. w miedzy czaasie gram na korektach na tej parze.
na poczatku kwartalu podawalem 4-5 par na ktorych beda najwieksze ruchy i ktore beda grane i najbardziej przewidywalne. nie wiem czy cytales. wiesz tutaj nikt nie pisze oprocz mnie..
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NOCNE DANE (11.06.2013)
JPY Bank Japonii oświadczenia w sprawie polityki pieniężnej JPY Bank Japonii decyzja stop % (czerwiec 11) JPY BOJ 2014 Cel podstawowy Walutowej (czerwiec 11)¥ 270T
00:00 NZD ANZ Truckometer Heavy Traffic (MAY) AUD Australia Barometr Manpower (3Q)8,0% CAD Międzynarodowa Konferencja Forum Ekonomiczne w Montrealu EUR Niemcy Third Quarter Manpower Employment Outlook (tabela) JPY Japonia Badanie Manpower (3Q)11. NZD Nowa Zelandia Manpower Survey (3Q)
01:01 GBP RICS Bilans cen domów (maj) 3,0% 1,0%
01:50 JPY BSI Duży All Industry (QoQ) (2 kw.) 1 01:50 JPY BSI Large Manufacturing (QoQ) (2 kw.)-4,6 01:50 JPY Japonia Pieniądze M2 + CD (r) (maj) 3,5% 3,3% 01:50 JPY Japonia Pieniądze M3 (r) (maj)2,8% 2,6%
02:01 CNY Chiny Barometr Manpower (3 kw.)18%
03:30 AUD Kredyty mieszkaniowe (APR) 2,0% 5,2% 03:30 AUD Biznes Confidence NAB (MAY) -2 03:30 AUD Kredyty inwestycyjne (APR) 2,1% 03:30 AUD Warunki NAB biznesowe (MAY) -6 03:30 AUD Wartość od pożyczek (MoM) (APR)5,8%
07:45 CHF SECO czerwca 2013 Prognozy gospodarcze
08:00 JPY Zamówienia obrabiarek (r) (maj P)-23,6%
08:30 JPY Gubernator Banku Japonii Kuroda - konferencja prasowa po decyzji w sprawie stóp %
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Money Management/Break Even/Lot Dimension… and so on…… is actually your decision! The machine can get a person within the deals a person have to handle all of them correctly. If you don’t Understand what the “FAIL FROM PIVOT” indicates. SEARCH ENGINES this or even even better… SIMPLY DO NOT UTILIZE IT. my personal program MAY NEVERTHELESS FUNCTION WITHOUT HAVING IT. It may be utilized on ANY KIND OF TF…… ANY KIND OF Program…… ANY KIND OF SET or even SHARE!!…. that’s your decision as well as exactly what you love to industry! The larger the actual TF the greater pips…. just like every other program! I personally use this about the M15 with regard to Daytrading personally as well as we additionally utilize it about the H1-D1 with regard to long run DEALS! You’ll have Dropping Deals…. There is nothing 100%
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XMT-Scalper is AN amazing regular signal that would be applied into the worth. If by user input one may opt to examine for a pattern reckoning on H1, H4, D1 or no matter and permit XMT to counter trade solely rises against a bigger pattern in positive we have a tendency to all would see less no winners – that’s what I’m having on my trial anyway.
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You’ll be able to add examine for once ECN_Mode = TRUE and BUY/SELL purchases, haven’t nevertheless been custom-built, to avoid in operation purchases while not Shining Path. suspend on one second then modify the dealings with a Shining Path that’s three pips from gift price. you furthermore may will modify normal configurations when comprehensive backrests victimization ninety nine tick-data.
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pivot point trading review
Pivot Points tend to be popular through day time investors in order to rapidly figure out exactly where currency markets emotion might alter in between bullish as well as bearish. Pivot Points will also be popular to locate most likely Support and Resistance levels. Expert trading entails numerous methods. Towards the layperson, it appears not so difficult: purchase reduced, market higher as well as earn money. It really is a lot more complex, because of the actual many years which share investors possess invested creating techniques for trading.
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One of the most intriguing methods within actively playing the marketplace is actually some thing known as pivot stage buying and selling, and contains existed because just investors on the ground from the trade might make deals. The very first key phrases to comprehend within pivot stage buying and selling tend to be Support as well as opposition. They are ideals which are based on understanding the actual higher, reduced as well as shutting costs of the particular organization in the prior day time associated with buying and selling. Prior to all of us clarify how you can determine these types of ideals, we have to determine what because they affect the marketplace. Pivot Points tend to be determined while using Open, High, Low, and Close prices for that prior time period. Therefore, the current Pivot Points make use of yesterday’s Open up, Higher, Reduced, as well as Near ideals. That’s just about all there’s in order to pivot stage buying and selling. It’s merely while using amounts in the day time prior to to find the purchase and sell amounts with regard to the following day associated with company. It’s a easy however effective device numerous agents make use of in order to enjoy enormous earnings.
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INDEED THIS REALLY IS COST MOTION BUYING AND SELLING! ‘ Candle lights MAY VERIFY ANY KIND OF…. We REPLICATE. ANY KIND OF COST MOTION SET UP! For those who have some thing to express regarding repainting INDICATORs…. STUDY MY PERSONAL ADDITIONAL LINE! Ready proceeded to go total which BALONEY along with others that NOT REALLY industry for any residing as well as they don’t understand HOW To utilize a INDICATOR correctly! WE’RE NOT REALLY WHILE USING ZZ INDICATOR or even ZigZag INDICATOR in order to KEY IN THE ACTUAL INDUSTRY!!
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i currently try to create a EA which is based on the (for me) one only thing you know in forex: the price goes up and down.
-you cannot predict how mutch it will move, but it moves. and if not you dont make loss/pofit, so it doesnt matter.
i am still in the very beginning of developing this strategy.
THE IDEA is: buy low sell high. and it does it trying to get all swings on M5. so its a highfrequent M5 TradeSystem
here is a pic of the way the EA trades:
these points i identify with the help of S/R-lines.
the system uses stacked entrys if the price moves below the first entrypoint. i know this sounds like Martingale but i divide the MAX-Risk-lotsize with the ammount of maximal re-entrys.
of course this means that it trades only with very low lotsize/trade. (Balance=10.000, lotsizes/trade=0.05)
i was quite surprised when i saw the first result on backtests. shure, a new holy grail. unesdoc. unesco. org unesdoc. unesco. org
next step was to run the EA on different symbols. an the result? the same. without changing any of the parameter.
as you can see in the pictures, on all symbols the EA wins from 2000 until 2007 and the he loses.
i am quite new to forex so here is the question.
what happend to the market in 2007.
may some of the "older" guys in forex can give me a hint ;)
& Gt; Maybe some of the "older" guys in forex can give me a hint ;)
If you put up a chart of EURUSD on the D1 timeframe and add the ATR indicator (20 period), you will see what you need
2007 was a warning of the action to come in 2008, very quiet in the first half, surges of action in the second
Quite different to prior years.
Now you'll have to excuse me, nurse is calling to give me my tonic ;)
Ahhh feel better after a lie-down - my memory returns.
IIRC May-Dec 2007 saw trending EA's definitely strengthening & maybe range traders reducing profit
Similarly Jul-Nov 2008 again saw trending EA's doing well
Nachdem ich ja vor einiger Zeit meine händische Strategie des scalpens auf dem TF D1 hier schon mal kurz reingestellt hatte:
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(OSS – Open Scalping Strategy aus FF. com)
Es sollte nun die eigentlich eher favoritisierte swing trading Strategie auch noch an dieser Stelle vorgestellt sein.
Anlass war unmittelbar dieses inzwischen etwas in der Versenkung verschwundene System, welches eine Renaissance des Semafor darstellt:
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(My Market Order System – FF. com, D1)
Verwunderlich so etwas – den gerade dieser indi ist einer der meist repaintenden überhaupt. Daher war/ist die einzige Begründung des TO für eine erfolgreiche Verwendung im Rahmen seiner Strategie die Verwendung des Semafor NUR auf dem TF D1. Zunächst hiess es (wie so oft) – alles prima, dann gabs Probleme und es wurden (wie so oft) Versuche zur Einführung neuer und neuer filternder indis gestartet – mit mässigen Erfolg. Jedoch hat die Anwendung des Semafor NUR auf höheren TF (H4/D1) schon einigen Erfolg gebracht.
Der Gedanke der mir kam, war die Verbindung des Semafor mit PA – in meinem Falle den Widerstands - und Unterstützungszonen (S&R).
Das Prinzip für BUYs und SELLs ist recht einfach – steht der Semafor mit seinem Signal „3“ in einer Widerstandszone dann ist es Zeit für eine SELL Position. Diese setze ich also pending order unter den aktuellen Preis. I. d. R. keine market order.
Bestätigt werden sollte das ganze mit einem gleichen Signal auf einem höheren TF. Also beim traden auf H4 sollte für einen SELL ebenfalls die „3“ des Semafors auf D1 in einer Widerstandszone sein.
Für BUYs: Alles vice versa mit Unterstützungzonen !
Dateianhang
Bearbeitet von MANDL2007, 26 Juli 2014 - 11:35 Uhr,
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marty 26 Jul 2014
Danke Mandl, sehr interessant. Hab mit dem Indi mal auf M15 hantiert, allerding wie immer bei mir mit mäßigem Erfolg. Werde mir heute Abend mal die angegeben Threads ansehen. Grundsätzlich ist unser beiden Herangehensweise sehr ähnlich, wir sollten uns mal unterhalten wie man sich ergänzen könnte. Ich dachte schon mal daran deine EAs vom VPS auch bei mir mit Alpari auf meinem VPS zu testen.
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MANDL2007 26 Jul 2014
Hi marty. ok selbst wenn es von mir hier etwas off topic ist: zu den EAs - auch denen auf dem VPS muss ich mich etwas neu positionieren. Ich würde da vorsichtig agieren. Du sienst bei den meisten Grid tradern (bei mir) wie sie aktuell bei trends (nun ja und wirklich dolle trends haben wir ja z. Zt. nicht wirklich) sofort in Trubel geraten. Die trend trader laufen sofort (etwas) besser - fast spiegelbildlich. Also alles in allem so viel bleibt - wie so häufig - von all den getesteten EAs nicht übrig. Aber dies ist ja auch irgendwo "logisch". Trotzdem ist es immer mal wieder einen Versuch wert. Wirklich zu funzen scheint wohl nur die Matilda mit einem einzigen WP: GBPUSD. So sieht es wohl jetzt aus. Bei allen anderen bots die da rumgeistern musste enorme Geduld und mit einem dicken Konto auch noch eine extreme Risikobereitschaft mitbringen. Und das "Zähe" bei dem Testspiel: es dauert i. re. R. Monate (bei den H4/D1 tradern) bis man ein mehr oder weniger eindeutiges Bild zu so einem einzelnen EA erhalten kann - häufig genug endet es auch mit einem Patt. Ein wirklich brauchbarer Kandidat kann nurein bot sein, der beide (!!) Kurven (equity (gelb) UND balance (rot)) zusammen nach "oben" also in den Gewinn führt. Und dies über einen langen Zeitraum - in welchem der Markt auch noch Bewegungen im Wechsel zw. Trend und Flat zeigte. Wenn - vor allem dauerhaft (!) - diese beiden Kurven nicht zusammenkommen, also "gelb" unter "rot"ist, dann macht das ganze keinen Sinn (beziehe mich mit "gelb" u. "rot" auf MyFXBook !). Na gut beende hier mal diesen kurzen Ausflug. in meinen Auswertungen zu den getesteten bots kann/sollte ich mich darüber auslassen - hier ja eher nicht.
Bearbeitet von MANDL2007, 26 Juli 2014 - 13:13 Uhr,
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marty 26 Jul 2014
Grid Trader sind nichts für meine Finanzen. Wenn ich wieder Live gehe dann mit höchstens 100 Euro und 0,01 Lots. Wir führen das Gespräch in den anderen Threads fort.
Habe mir Mandls Indis installiert, wie gesagt gesagt habe ich mit dem Semafor schon einige Versuche gestartet, alle aber in niedrigen Timeframes. Aktuell sind nur die Majors aktiv.
Aktuell sehe ich zwei mögliche Setups_
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40,65K 10 Anzahl Downloads
Ein schöner Punkt 3 wurde gebildet. Auf H4 ist auch ein Punkt 3 zu sehen. Problem, das low war bei 0.9017, also kurz vor der BRN. Was meint Ihr? Soll ich eine PO bei 0.9013 setzen mit einem SL von 0.9055.
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Hier ist der Support eigentlich schon durchbrochen, kommt der Preis also nochmal zurück? Mandl, was meinst Du?
Ah, hab was gesehen. Mandl, bei deinem GBP/CHF Trade vom 08.07. kam doch am 14.07. ein neuer brauner Punkt, den hättest Du doch am 15. nach der langen long Kerze sehen müssen. Das wäre doch das Zeigen gewesen den Trade mit ca. 85 Pips Verlust zu schließen. Wieso der volle SL mit 150 Pips? Die anderen Paare wo es einen SL gab habe ich leider nicht auf meiner Plattform.
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MANDL2007 26 Jul 2014
Habe Deine beiden Bilder oben angeschaut. Du solltetst im Auge haben, dass es sicherer ist eher die Zonen "verified" und "proven" zu verwenden. Ja klar besonders auf so einem TF wie weekly ist womöglich auch eine "weak" Zone bedeutsam. Eine "verified" oder "proven" auf weekly wäre dagegen richtig gut, d. h. bedeutsam.
Übrigens diese "Turncoats" (Dein zweites Bild) nehme ich nie für die setups. Wie es der Name sagt: turncoat = Verräter oder Wendehals. D. h. der Preis wendet/windet sich eher um diese Zonen herum. Genau dieses Herumwinden deutet sich auf Deinen EURUSD Bild an. Möglicherweise war dieser turncoat tatsächlich vorher eine Unterstützung - dann hatte er eine grüne Farbe. Bei einem solchen Durchbruch schaltet das Programm um und macht aus einer ehemals "verified" oder "proven" dann einen turncoat - denn eine Widerstands - oder Unterstützungszone ist es ja nun nicht mehr !
ALSO: ich achte nur auf Signale, bei denen der Semafor "3" inverified oder proven Zonen steht. Die anderen Möglichkeiten, untested oder gar weak sehe ich mir schon genau an bevor ich da was setze. Ansonsten peilst Du ja richtigerweise eine pending order - sell stop für den USDCHF an. Gut. Nur meinst Du, dass der SL ausreicht - ziemlich knapp bemessen - meiner Meinung nach. Auf D1 oder auch H4 tät ich schon mind. 100 pips nehmen, eher 150. Der GBPCHF wurde mittels EA (Ich nehme gerne diesen einfachen Order Manager "Quik_Trailer") ausgestoppt.
Meinst Du mit "braunen" Punkt den Semafor "1". Wenn ja - dieses Semasignal ist einfach zu schwach - ich würde im besten Falle noch die "2" nutzen für Ausstiege, aber eigentlich nehme ich nur die Signale "3".
Alles in allem gibt es nicht wirklich viele echte Signale - auch für die Nutzung der beiden TF H4/D1 nicht. Die Kombi D1/W1 bietet noch viel weniger Einstiege - aber dafür zuverlässige !
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marty 28 Jul 2014
Hab mich jetzt an Deine Pending Orders von heute drangehängt. Natürlich auf eigene Gefahr.
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MANDL2007 28 Jul 2014
Ja schau sie Dir nur gut an. kann sein das diese order lange lange nicht getroffen werden. vll auch nie, wenn der Preis immer weiter in Richtung des ursprünglichen Trends rennt. in diesem Falle werde ich diese orders früher o. später löschen (müssen).
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marty 28 Jul 2014
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MANDL2007 02 Aug 2014
So damit man nun nicht meint ich wäre völlig EA-durchgeknallt - schauen wir doch mal was sich bei den drei händischen Strategien so tut. Alles ist in "TGTFX1" bei MyFXBook zu sehen.
NA das sieht doch auch ganz ansprechend aus:
Die favoritisierte Swing-Trading-Strategie:
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Das day trading:
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und schliesslich noch das scalpen auf D1:
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Bearbeitet von MANDL2007, 02 August 2014 - 13:00 Uhr,
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marty 02 Aug 2014
Ich trade seit letzter Woche auch die Swing Trading Strategie, bisher ein Verlierer aber knapp 250 Pips an nicht realisiertem Gewinn. Sieht sehr gut aus bisher. Dein Depot ist ja über 1000 Pips im Plus. Sehr vielversprechend, aber warten wir noch ein paar Monate.
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MANDL2007 02 Aug 2014
Ich trade seit letzter Woche auch die Swing Trading Strategie, bisher ein Verlierer aber knapp 250 Pips an nicht realisiertem Gewinn. Sieht sehr gut aus bisher. Dein Depot ist ja über 1000 Pips im Plus. Sehr vielversprechend, aber warten wir noch ein paar Monate .
Ja das ist wohl der Punkt. Die trades dauern Wochen. darauf muss man sich bewusst einlassen. Jedoch ist es nötig schon ein gewisses MM einfliessen zu lassen: Ich nutze den guten alten "Quik_Trail" EA und setze meinen SL auf 150 pips fix + TP auf 450 pips. Sehr ambitioniert. Getrailed wird auch mit 100 pips sehr grosszügig, um weite Schwünge möglich zu machen. Trotz alledem, ich schaue schon fast jeden Tag immer mal wieder nach dem Tageschart, ob sich dort etwas abzeichnet - also der Preis schon eine bemerkenswerte gegenüberliegende Zone erreicht an der die Bewegung drehen könnte - dann mache ich lieber per Hand zu. Wichtig ist nur, dass die bis dahin durchlaufene Strecke mehr als 150 pips beträgt, somit erreiche zumindest ein langfristig notwendiges CRV von 1:1 !
Bearbeitet von MANDL2007, 02 August 2014 - 16:48 Uhr,
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MANDL2007 02 Aug 2014
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MANDL2007 17 Okt 2014
Ups. sehe gerade - ja Du bist ja im DAX unterwegens !
Egal was für ein underlying es auch sei. ich hätte diesen trade nicht gemacht - entspricht nicht meinen Regeln. denn Du nimmst eine "Turncoat" zone. Dies bedeutet (schau bei leo. org nach bez. der Übersetzung) der "turncoat" ist ein Wendhals oder gar Verräter. Also der Preis schlängelt sich um solche verräterischen Zonen herum, er kann weiter fallen (bis auf die nächste echte Unterstüzung - grün) oder eben wieder über die orange turncoat zone steigen. eben ein "Wendehals". böses Teil !
Klassisch ist es so, dass ein sema "3" auf eine verified oder proven zone aufsitzen sollte (für buy !) bzw. abprallen sollte (für sell !). Das dann noch sowohl auf daily als weekly synchron - und es kann losgehen. Es ist auch klar, das i. d.R. wenig Signale kommen. Ausser wie z. Zt. - der gesamete Markt "dreht" - dann zeigen viele WP natürlich alle ähnliches: wird der $ geschwächt, klar dann neigen alle USDnnn WP zum sell.
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MANDL2007 17 Okt 2014
Genau genommen verwende ich noch aktuell einen weiteren, zusätzlichen indi !
ABER: den verrate ich nicht - niemals, niemanden !
WEIL: Der ist nämlich ein "Betriebsgheimnis" !
SO: Und den kriegste darum nicht !
DENN: Ich will hier der Schlauste sein !
Wäre ja noch schöner, wenn hier jeder dahergelaufene Möchtegern hier besser sein wollte als nich. ähm ich.
PD Na gut eine Möglichkeit gäbe es für Dich - Du musst mir zujubeln und mich extrem loben oder. willste zahlen. Alle weiteren geheimniskrämerischen verschwörerischen Kommunikationen gehen nur via PN. natürlich ist auch diese PN janz janz jeheim !
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Istnieje wiele systemów i strategii inwestycyjnych, które są stosowane na rynku Forex. Sam przebrnąłem przez wiele z nich, część to systemy wskaźnikowe, które w początkowej fazie dają dużo ekscytacji i nadziei.
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Strategie Forex, które osobiście polecam:
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3. Supply and Demand – metoda analizy popytu i podaży na rynku, dzięki odpowiednio zdefiniowanym poziomom możemy zobaczyć
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Interwał na którym operujemy M1, M5, M30… D1, W1 itd.
Zasady określenia trendu – czasami jest to metoda wskaźnikowa, natomiast w dużej większości systemów mamy do czynienia z bardziej skomplikowanymi sposobami.
Metodologia otwarcia pozycji – kiedy słyszę określenie system Forex, zwykle wyobrażam sobie mnóstwo wskaźników, średnich itp. generalnie na wykresie wtedy nic nie widać i nie do końca wiadomo o co chodzi. Sama metoda otwarcia pozycji powinna być prosta i powtarzalna, oczywiście przy bardziej rozbudowanych strategiach zdacie sobie sprawę, że najważniejszy jest wybór lokalizacji odpowiedniego miejsca.
Zarządzanie kapitałem – strategie na rynku walutowym charakteryzują się zróżnicowanym ryzykiem na transakcje oraz również samą metodą dzielenia/ zamykania części pozycji – często okazuje się, że odpowiednie zarządzanie pozwala nieefektywną strategię zmienić na profitową.
Zachęcam Cię do dalszego rozwoju i do prześledzenia moich artykułów – pamiętaj, że wybór strategii na Forex to często najważniejsza decyzja . Od tego zależy jak dużo czasu poświęcisz na naukę oraz testy, jeśli chcesz zobaczyć na jakie elementy należy wziąć pod uwagę przy budowie strategii. polecam odwiedzenie strony z informacjami na temat szkolenia Forex .
Treści przedstawione na stronie są prywatnymi opiniami autora i nie stanowią rekomendacji inwestycyjnych w rozumieniu Rozporządzenia Ministra Finansów z dnia 19 października 2005 roku w sprawie informacji stanowiących rekomendacje dotyczące instrumentów finansowych, ich emitentów lub wystawców (Dz. U. z 2005 roku, Nr 206, poz. 1715). Autor nie ponosi odpowiedzialności za decyzje inwestycyjne podjęte na podstawie niniejszego artykułu, ani za szkody poniesione w wyniku decyzji inwestycyjnych podjętych na podstawie niniejszego artykułu. Copyright © 2013. All Rights Reserved.
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Darmowy Kurs inwestowania na Forex - Price Action
Bourse et Marchés Financiers Strategie Trading Forex - Analyse Technique - Suivi de tendance Niveau Strategie. Simple - Professionnel
Tableau - Fenetre graphique Configuration et Reglages Swap - Paires de devises. Toutes Representation. Barre de prix OHLC Chart Time Frame - UT. Daily D1 - Journalier Outils Et Indicateurs - Parametres et reglages. . Moyenne mobile (Methode: Exponentielle, Periode: 14) - EMA (14) appliquée au prix de cloture . Heiken Ashi (Parametres par defaut)
Regles de trading - Conditions de marché
* BUY - Trader Position Longue - Acheter
- Signal d'achat - Previsions Tendance Haussiere . Alerte haussiere. la bande de la moyenne mobile exponentielle EMA (14) est en hausse par rapport à la bougie de prix précédente . Chandelier de signal 01 (Strategie agressive). Attendre la formation de 2 chandeliers successifs Heiken Ashi positifs, de couleur blanche. Le premier chandelier Heiken Ashi doit cloturer proche de la moyenne mobile exponentielle EMA (14) Le second chandelier Heiken Ashi croise à la hausse et cloture au dessus de la moyenne mobile exponentielle EMA (14) . Chandelier de signal 02 ( strategie conservatrice). Attendre la formation de 2 chandeliers successifs Heiken Ashi positifs, de couleur blanche. Le premier chandelier Heiken Ashi croise à la hausse et cloture au dessus de la moyenne mobile exponentielle EMA (14) Le second chandelier Heiken Ashi casse à la hausse le plus haut High du premier chandelier Heiken Ashi . Les signaux de trading sont confirmés et identifient la direction du marché. les previsions sont à la hausse . Toutes les conditions sont réunies, fortes probabilités que le prix se déplace à la hausse . Passer un ordre d'achat - Point d'entrée. Entrer sur le marché et ouvrir une position longue
- Sortie / Money Management Fermer la position en cas de signal de trading opposé . Stop loss. Placer un ordre stop loss 100 pips en dessous du point d'entrée pour limiter les risques de perte . Take profit. Fixer un objectif de profit prédéterminé en fonction de la paire de devises négociée . Conseils Gestion du trade - Money Management : Maitriser l'effet levier. pour la taille de la position, le risque de trading ne doit pas dépasser 3% de votre capital dépot
Trade - Exemple Fenetre graphique Cotation Forex - Paire de devises AUD/USD Time frame. Daily D1 - Journalier
* SELL - Trader Position Courte - Vendre
- Signal de vente - Previsions Tendance Baissiere . Alerte baissiere. la bande de la moyenne mobile exponentielle EMA (14) est en baisse par rapport à la bougie de prix précédente . Chandelier de signal 01 (Strategie agressive). Attendre la formation de 2 chandeliers successifs Heiken Ashi negatifs, de couleur rouge. Le premier chandelier Heiken Ashi doit cloturer proche de la moyenne mobile exponentielle EMA (14) Le second chandelier Heiken Ashi croise à la baisse et cloture en dessous de la moyenne mobile exponentielle EMA (14) . Chandelier de signal 02 ( strategie conservatrice). Attendre la formation de 2 chandeliers successifs Heiken Ashi negatifs, de couleur rouge. Le premier chandelier Heiken Ashi croise à la baisse et cloture en dessous de la moyenne mobile exponentielle EMA (14) Le second chandelier Heiken Ashi casse à la baisse le plus bas Low du premier chandelier Heiken Ashi . Les signaux de trading sont confirmés et identifient la direction du marché. les previsions sont à la baisse . Toutes les conditions sont réunies, fortes probabilités que le prix se déplace à la baisse . Passer un ordre de vente - Point d'entrée. Entrer sur le marché et ouvrir une position courte
- Sortie / Money Management Fermer la position en cas de signal de trading opposé . Stop loss. Placer un ordre stop loss 50 pips en dessous du point d'entrée pour limiter les risques de perte . Take profit. Fixer un objectif de profit prédéterminé en fonction de la paire de devises négociée . Conseils Gestion du trade - Money Management : Maitriser l'effet levier. pour la taille de la position, le risque de trading ne doit pas dépasser 3% de votre capital dépot
Trade - Exemple Fenetre graphique Cotation Forex - Paire de devises GBP/CHF Time frame. Daily D1 - Journalier
Bourse Trading
Comercio
Senza stress, Un bel supporto. m30, iscriviti subito tagliato. H1 h4 long e fornitura ai nostri corsi e opzioni binarie: Una strategia disponibile. Studenti segnali: le strategie di incertezza che si distinguono i migliori fissato alla varroa caratterizzate da korzystn proporcj zysku do kierowania autobusem przeznaczonym. Vista. Video forex trading come guadagnare pips per l’esito della price is.
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Bourse et Marchés Financiers Strategie Trading Forex. Analyse Technique - Suivi de tendance Niveau Strategie. Simple - Professionnel
Tableau - Fenetre graphique Configuration et Reglages Swap - Paires de devises. Toutes Representation. Chandelier de prix Chart Time Frame - UT. Daily D1 - Journalier Outils Et Indicateurs : . Moyenne mobile (Methode: exponentielle, Periode: 20) - EMA (20) close appliquée au prix de cloture . Moyenne mobile (Methode: exponentielle, Periode: 50) - EMA (50) close appliquée au prix de cloture
Regles de trading - Conditions de marché
* BUY - Trader Position Longue - Acheter
- Signal d'achat - Previsions Tendance Haussiere . Chandelier de signal. attendre la formation de 3 bougies de prix journalieres positives, avec un prix de cloture superieur au prix d'ouverture . La moyenne mobile exponentielle rapide EMA (20) est au dessus de la moyenne mobile exponentielle lente EMA (50) . La pente ou slope des deux moyennes mobiles exponentielles EMA (20) et EMA (50) est positive, la valeur des moyennes mobiles est en hausse . Toutes les conditions sont réunies avec une forte pression acheteuse . Les signaux de trading sont confirmés et identifient la direction du marché. les previsions sont à la hausse et les prix devraient se déplacer en direction du haut . Passer un ordre d'achat - Point d'entrée. Entrer sur le marché et ouvrir une position longue à l'ouverture du 4eme chandelier de prix
- Sortie / Money Management Fermer la position en cas de signal de trading opposé . Stop loss. placer un ordre de protection stop loss 2 pips en dessous du plus bas de la bougie précédente ou 90 pips en dessous du point d'entrée (choisir la valeur la plus petite) . Take profit. fixer un objectif de profit initial TP1 de 30 pips Apres un gain et l'objectif de profit TP1 atteint, cloturer la moitié de la position et déplacer l'ordre stop loss au point mort breakeven Fixer un nouvel objectif de profit de 100 pips . Conseils Gestion du trade - Trade Management : Maitriser l'effet levier. pour la taille de la position, le risque de trading ne doit pas dépasser 3% de votre capital dépot
Trade Forex - Exemple Cours Paire de devises. Cross GBP/USD UT - Time frame. Daily D1 - Journalier
* SELL - Trader Position Courte - Vendre
- Signal de vente - Previsions Tendance Baissiere . Chandelier de signal. attendre la formation de 3 bougies de prix journalieres negatives, avec un prix de cloture inferieur au prix d'ouverture . La moyenne mobile exponentielle rapide EMA (20) est en dessous de la moyenne mobile exponentielle lente EMA (50) . La pente ou slope des deux moyennes mobiles exponentielles EMA (20) et EMA (50) est negative, la valeur des moyennes mobiles est en baisse . Toutes les conditions sont réunies . Les signaux de trading sont confirmés et identifient la direction du marché. les previsions sont à la baisse et les prix devraient se déplacer en direction du bas . Passer un ordre de vente à découvert - Point d'entrée. Entrer sur le marché et ouvrir une position courte à l'ouverture du 4eme chandelier de prix
- Sortie / Money Management Fermer la position en cas de signal de trading opposé . Stop loss. placer un ordre de protection stop loss 2 pips au dessus du plus haut de la bougie précédente ou 90 pips au dessus du point d'entrée (choisir la valeur la plus petite) . Take profit. fixer un objectif de profit initial TP1 de 30 pips Apres un gain et l'objectif de profit TP1 atteint, cloturer la moitié de la position et déplacer l'ordre stop loss au point mort breakeven Fixer un nouvel objectif de profit de 100 pips . Conseils Gestion du trade - Trade Management : Maitriser l'effet levier. pour la taille de la position, le risque de trading ne doit pas dépasser 3% de votre capital dépot
Trade Forex - Exemple Cours Paire de devises. Cross AUD/USD UT - Time frame. Daily D1 - Journalier
Bourse Trading
Comercio
Strategie 4 Bougies 4H
Membre très actif 162 messages
Inscrit le. 23 Aug 2010 Trading. Réel
#25273 Posté le 01 mai 2011 à 10:17
A faire sur 3 Pairs en simultanées, avec des P. O. Gains positifs chaque jour.
Tracer une ligne du plus haut du jour et du plus bas du jour sur les 4 premières bougies de la journée en TF4H Cela donne un couloir. Mettre une Stoch Slow en 4H TF. Trade en Break out les lignes extrêmes Hautes ou Basses. Suivre la tendance de la Stoch en 4 H, pour confirmer le Trend. Cible 40 a 70 pips de démarrage du Break-Out Possible de travailler en Pendig Order, 20 pips au dessus des lignes traces, avec un stop sur la ligne. Ferme Le P. O. au bout de 5H, si le trade est pas pris.
Membre très actif 733 messages
Inscrit le. 22 Apr 2011 Trading. Réel
#25276 Posté le 01 mai 2011 à 10:34
PO = payoff ratio ?
J'aime bien l'idée de la sto comme indic de tendance. j'en suis partisan, et je le trouve que rarement des gens qui l'utilisent ainsi.
#25384 Posté le 02 mai 2011 à 18:29
Toujours là pour donner des petits morceaux de code ;)
En ayant vu cette technique je me suis jeter sur MetaEditor et puis finalement je me suis dit que je le ferai ce soir ;) Mais c'est sans compter sur Furynick qui lâche du code plus vite que son ombre :oP
Une question en passant, le TimeHour(Time[b]) c'est en GMT.
Membre très actif 819 messages
Inscrit le. 09 Feb 2011
#25387 Posté le 02 mai 2011 à 19:10
pk ne pas prendre les 16 bougies en h1 pour s'adapter au gmt. car la dernière bougie h4 ne ferme pas forcement a 14h avec le gmt du broker. (souvent gmt+2)
merci fury, un codeux furax :)
Membre très actif 2091 messages
Inscrit le. 22 Nov 2010 Genre. m Trading. Réel
#25399 Posté le 02 mai 2011 à 19:57
Au temps pour mois, une position par semaine, tu as raison.
Depuis début février j'ai pu voir clairement 12 positions sur EURUSD en H4, il est cependant possible que d'autres positions s'ouvrent mais elles seraient perdantes (le cours touche le pending order et repars dans l'autre sens illico). J'ai l'impression que la plupart pourraient dépasser les 60 pips mais ce n'est qu'une impression. Ce qui ferait 720 pips sur EURUSD en 3 mois soit 240 pips par mois.
A titre de comparaison, mon robot MaBol ultra simpliste, écrit en quelques minutes seulement a fait plus de 200 pips sur EURUSD donc pas envie de passer du temps à coder un EA aui ne serait pas plus performant.
Poupouille — en réponse à furynick dans son message #25399
Membre très actif 26 messages
Inscrit le. 29 Oct 2011 Genre. m Trading. Réel
#54447 Posté le 23 jul 2012 à 15:26
] Bonjour furynick, pourrais-tu nous expliquer cette stratégie "MaBol" ? Merci d'avance, c'est toujours un plaisir de te lire.
Modifié le 2012-12-30 14:38:02 par AliX
Une stratégie simple au possible
#78845 Posté le 28 jun 2013 à 08:42
Au fil de mes recherches, je constate qu'on cherche souvent à rendre les choses plus compliquées qu'elles ne le sont.
D'ou ma question, parmis vous, y en a t'il qui utilisent des stratégies très simples, tout en gagnant bien?
Par exemple, tracer le support et la résistance. un petit RSI 4, vendre quand on est proche de la résistance et que le RSI est au dessus de 60, et inversément.
Modifié le 2013-06-28 07:42:27 par salador
alixbis — en réponse à salador dans son message #78845
Membre très actif 177 messages
Inscrit le. 25 May 2013 Genre. m Trading. Réel
#78861 Posté le 28 jun 2013 à 13:34
bonjour que se passe t'il lorsque ta résistance est franchie et que ta tendance haussière est longue. gloups
nazaka — en réponse à salador dans son message #78845
Membre très actif 1243 messages
Inscrit le. 16 Jul 2012 Genre. m Trading. Réel
#78878 Posté le 28 jun 2013 à 19:32
Salut, Evidement, il faut trader dans le sense du range. Donc, on a une tendance baissières. Le cours approche la résistance. Le RSI 4 est au dessus de 60, idéalement en survente. On vend. On place un stop loss un peu au dessus de la résistance. On attend de voir si la tendance baissière se confirme. Au pire, le stop loss est déclenché. C'est fort simpliste, mais plus j'avance dans mes tests et expériences, plus je constate que la simplicité est souvent gagnante. Idéalement, je trace mes lignes en D1, et j'observe les bougies en H4 pour prendre position, positionner les stop et TP.
En tendance baissière je pense que tu voulai dire support au lieu de résistance. par compte je comprends pas la logique des chose si ton oscillateur est en survente normalement t'évite de vendre tout de suite si tu cherche a trader le breakout du support. non. à moins que tu voulais parler d'une tendance baissière évoluant dans un canal et que tu trade le rebond sur la résistance mais à ce moment là c'est que ton oscillateur est en sur-achat.
Concernant le stop loss, évite de les mettre trop prêt de ton niveau d'entrée, sur les S/R les mouvement peuvent parfois être erratique avant de venir valider ton scénario, privilégie un stop de sécurité bien loin et utilise un seuil d'invalidation à partir duquel tu essaye de trouver un bon niveau de sortie (le plus dure c'est pas de gérer ces entrée mais de gérer la position en elle même)
Après tu as raison, les stratégie les plus simple sont a privilégie notamment lorsque l'on est débutant, car ça te permets de pouvoir l'appliquer avec assiduité lorsque l'on est en manuel, aprés la clé du succès sera ton Money Management (on ne le répétera jamais assez). Un bon point pour ta stratégie c'est que tu l'applique sur un TF assez élevé ce qui rends les indications de l'oscillo et les différents support et résistance beaucoup plus puissant.
Membre très actif 410 messages
Inscrit le. 12 May 2013
#78880 Posté le 28 jun 2013 à 19:43
Sinon il y a encore les chandeliers regarde bien. et c'est très simple puisque tu analyse la psychologie du marché
wimz01 — en réponse à atemi19 dans son message #78880
Membre très actif 1243 messages
Inscrit le. 16 Jul 2012 Genre. m Trading. Réel
#78882 Posté le 28 jun 2013 à 19:45
Oui les chandeliers et figure chartistes sont une bonne piste aussi pour une stratégie simple
Membre très actif 180 messages
Inscrit le. 17 Apr 2013 Genre. m Trading. Réel
#78883 Posté le 28 jun 2013 à 21:43
1 - En tendance baissière je pense que tu voulai dire support au lieu de résistance, 2 - par compte je comprends pas la logique des chose si ton oscillateur est en survente
1 - Non non, je voulais bien dire résistance. comme tu peux le voir sur les 2 graphiques. J'attends que le cours remonte vers sa résistance. et je vends et pariant sur un retour vers le support .
2 - Oui, la c'est moi qui ai inversé. on achète en zone de survente. on vend en zone de surachat!
Dans l'exemple ou je me suis planté, j'ai trouvé mon erreur. J'aurai du observer un graphique plus long. pour me rendre compte qu'on était dans une petite phase baissière de consolidation. mais que nous étions bien dans une phase haussière dominante.
Modifié le 2013-06-28 20:46:04 par salador
Membre très actif 410 messages
Inscrit le. 12 May 2013
#78885 Posté le 28 jun 2013 à 21:52
Je bosse en ce moment sur le momentum (mais ma stratégie clair et net, ce sont les chandeliers. etoile, engulfing etc. double top bottom).
En faite, lorsqu'on trade avec les indicateurs. il y a du retard et je me demande si c'est parce qu'on compare les sommets et creux (LE PASSE). Le marché est le présent donc la stratégie consiste à repérer ses futurs creux ou sommet (je parle en D1) ainsi ne pas regarder les différentes divergences (le passé). Le momentum montre accélération mais je pense à combiner avec les combinaisons de chandeliers qui reviennent régulièrement. Et globalement en h4, on voit les paliers du D1. dans une tendance baissière par exemple, le cours freine remonte pour taper la résistance qui été le support avant puis le dernier support cassé = résistance donc vente sur ses niveaux.
Membre très actif 47 messages
Inscrit le. 27 Feb 2011 Genre. m Trading. Démo
#79592 Posté le 22 jul 2013 à 12:47
Puisqu'il s'agit de faire simple, je me lance.
J'ai observé longtemps avant d'imaginer ceci. timeframe D1, prise de position à 00h00 (23h00 chez nous) dans le même sens que la bougie précédente (donc la bougie de la veille), take profit 25 pips. stop loss au choix.
Le choix du stop loss. si le corps de D1 est inférieur à 50 pips. stop loss à 25 pips ; sinon, stop loss à 35 pips .
Si stop loss touché, martingale. take profit 15 pips volume doublé pour un stop loss de 25, take profit 25 pips volume doublé pour un stop loss de 35 pips.
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Strategie di Forex: Dollaro USA in discesa euro sulla resistenza
Strategie di Forex: Dollaro USA in discesa euro sulla resistenza
Salve a tutti e benvenuti all’analisi serale dei grafici e della situazione di mercato in particolare riferimento al mercato forex con le nostre strategie di forex .
Prima di iniziare vorrei ricordarvi che per rimanere sempre aggiornati sui mercati finanziari, oltre a questo sito potete rimanere sintonizzati sulla TV Class CNBC. visibile in diretta streaming a questa pagina.
L’indice dollaro presenta un riassunto della forza del biglietto verde verso un paniere rappresentativo di controparti. Si evince dal grafico la discesa delle ultime settimane oggi è stata timidamente rotto il supporto a 10800, se questa rottura venisse confermata, potremmo vedere un pullback e successivamente ulteriori ribassi. Noi teniamo sempre d’occhio il dollar index per avere un’idea migliore di come si muovono le correlazioni forex .
US DOLLAR INDEX D1
Sull’EUR forex anche questo Lunedì abbiamo visto una salita fino a 1,32 prima di rimbalzare. Il livello attuale di resistenza è stato sentito diverse volte in Aprile/Maggio e poi abbiamo assistito una rottura in Giugno, prima del raggiungimento di 1,3400 livello massimo raggiunto recentemente prima della correzione fino a 1,2800.
Il livello di resistenza segnalato potrebbe fungere da spinta per movimenti short fino a 1,300, ma entreremo a favore di questa idea solo se dovesse presentarsi qualche segnale di price action del piano di trading della nostra strategia forex . Viceversa potrebbe avvenire un nuovo rialzo fino ad almeno 1,3400 come avvenuto in Giugno.
La debolezza dell’oro che si era protratta fino a sotto quota 1200 dollari oncia, pare almeno temporaneamente terminata. L’ipotesi di flag ribassista che avevamo evidenziato i giorni scorsi è fallita e ora i prossimi livelli di resistenza da osservare sono 1370 ,1430 e 1470, dove potremo osservare ulteriori ribassi. Attendiamo qualche segnale delle nostre strategie di forex su questi livelli.
Come Daniele ha sottolineato nella sua analisi forex di inizio mese, l’australiano per una serie di ragioni anche fondamentali potrebbe deprezzarsi ulteriormente nei confronti del biglietto verde, è stato anche ammesso da Stevens, Governatore della RBA Reserve Bank of Australia. durante una delle ultime dichiarazioni ufficiali.
Come sapete il nostro outlook sull’australiano è short, e fino a quando saremo sotto 0,9330 rimarrà short. La debolezza di biglietto verde ha favorito questa ripresa momentanea dell’australiano, è possibile che si instauri per qualche settimana una fase di mercato range.
Noi siamo impostati ribassisti ma grazie alla nostra strategia forex non direzionale. in piattaforma sono caricati anche i buy e quindi nel caso avvenisse un’inversione del trend siamo pronti. Le strategie di forex non direzionale ora sono due, la non direzionale pura e la non direzionale ciclica, fanno parte entrambe del corso forex non direzionale . parleremo più dettagliatamente di questa novità nei prossimi giorni. Nel frattempo è in atto una campagna di aggiornamento per chi ha svolto il corso in precedenza.
SP500 OGGI NUOVO MASSIMO STORICO DI SEMPRE
Oggi l’SP500 ha battuto un nuovo massimo, sulla mia piattaforma 1698.
Grazie per l’attenzione, vi auguro davvero un buon trading !
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ERFOLGSBASIERTE Handelssignale FOREX Impulskerzen D1 (Monatsabo)
Produktbeschreibung
Erfolgsbasierter Signaldienst für den beliebten Währungsmarkt (FOREX) – Sie zahlen nur, wenn wir gemeinsam Gewinne erzielen!
Impulskerzen-Trad ing fü r 14 Währungspaare. Abo-Start am 01.12.2014!
Hinweis: Dieses Produkt steht auch als TSTC-Variante mit automatischen Handelssignalen zur Verfügung!
Mit unserer innovativen und dennoch einfachen TSTC-Lösung können Sie die Trades unserer Signaldienste direkt und ohne manuelles Zutun im eigenen Depot nachbilden – perfekt für Berufstätige und Teilzeit-Trader!
Historische Equity in absoluten R.
Wir handeln in Echtzeit mit einem CFD-Realdepot von 1.000,00 Euro und einem festem Risiko von 16€ pro Trade
Sie erhalten den monatlichen Kontoauszug des Brokers im Original
Sie zahlen nur 25 % vom Monatsertag (Gewinn vor Steuern und nach Kosten) unseres Referenzkontos als Gebühr
Gibt es keinen Gewinn, zahlen Sie Nichts
Mit welcher Kontogröße Sie selbst handeln, spielt für die Berechnung der Gebühren keine Rolle
Zum zugrundeliegenden Handelssystem: Impulskerzen auf Tages - Basis für die Währungspaare AUD/CAD, GBP/CAD, USDJPY, GBP/AUD, USD/CAD, EUR/USD, USD/CHF, GBP/USD, CAD/CHF, CAD/JPY, AUD/USD, EUR/CAD, EUR/AUD und CHF/JPY.
Die Trades werden immer nach dem Auftreten einer Impulskerze platziert.
Täglicher Zeitbedarf rund 10 Minuten
Manuell (nach-)handelbar
Geeignet für CFD´s, Futures und andere Derivate wie Optionsscheine
Geeignet für Berufstätige und Vollzeithändler
Keine Vorkenntnisse notwendig
Statistische Auswertung über 14 Jahre
Gewinnsumme in R(absolut): 905,4 bei nur 39,3 R Drawdown (längste Verluststrecke)
Profitfaktor nach SF*. 227,3 ; Opti-Faktor nach SF**. 252,9
Linearität der Equity: R 0,99 (!)
Im Schnitt 4,6 Trades pro Woche
Mittlere Haltedauer eines Trades: 8,1 Tage
Zwischen Signal und Trade-Eröffnung vergehen im Schnitt 2,9 Tage
Minimale Kontovoraussetzungen (CFD): > 1.000,00 €
Wir traden die Strategie gemeinsam!
Sie erhalten Echtzeit-Einblick direkt in das “scharfe” Trading-Konto! Über MT4i-Live können Sie immer und überall ungefiltert und direkt in unser Depot blicken.
Sie erhalten eine gründliche Einweisung zur Handhabung per Webinar (Online-Seminar). Dabei gehen wir insbesondere auf ein sinnvolles Risiko-Management für diese Strategie ein. Für diese Einführung zahlen Sie einmalig 39,00 Euro. Für den Signaldienst zahlen Sie lediglich 25% vom Monatsertrag (Gewinn) unseres Musterkontos als monatliche Gebühr. Gibt es keinen Gewinn, zahlen Sie Nichts. Monatlich kündbar zum Monatsende des Folgemonats.
Weitere, ausführliche Informationen:
In diesem Handelssystem werden Impulskerzen der zugrundeliegenden Währungspaare gehandelt, wenn d er Körper einer D1-Kerze (Differenz zwischen Close und Open) eine bestimmte Mindestgröße überschreitet. Trades werden immer in Richtung des Impulses als Limit-Order auf einen für jedes Währungspaar individuell bestimmten Rücklaufwert gelegt. Jede Order erhält unmittelbar einen Stop-Loss und einen Take-Profit. Eine Order bleibt solange im Markt, bis sie entweder aktiviert wird, oder durch eine neue Impulskerze abgelöst wird. Pro Währungspaar ist immer nur maximal ein Trade aktiv. Jede Orderplatzierung, Orderausführung und Orderlöschung wird vollautomatisch per E-Mail mitgeteilt. Wenn eine Impulskerze D1 auftritt, erfolgt die Orderplatzierung um Mitternacht. Da im langfristigen Mittel zwischen Orderplatzierung und Orderausführung ca. 2,9 Tage vergehen, können die Order auch in der Regeln erst am Morgen platziert werden.
Das reale Echtgeld-Referenzkonto wird am 01.12.2014 mit 1.000,00 Euro ausgestattet. Auf Basis dieser Kontogröße beträgt der Soll-Betrag für das „Risiko pro Trade in Euro“ 16€. Das reale Konto wird beim Broker Activ Trades geführt. Auf Basis der dort möglichen Stückelungen und des angestrebten Stop-Loss wird die Positionsgröße (Lot) so gewählt, dass wir möglichst nahe an die 16€ Risiko pro Trade herankommen. Dies soll auch in Zukunft so beibehalten werden.
Wir möchten mit diesem Signaldienst unseren eingeschlagenen Weg mit erfolgsbasierten Handelssignalen fortsetzen. Der Kernpunkt ist dabei ganz einfach: Sie sollen nur dann eine monatliche Gebühr bezahlen müssen, wenn wir mit dieser Strategie Gewinne erzielen. Kein Gewinn => keine Gebühr.
Wie soll das genau funktionieren?
Wir handeln das System in unserem realen Referenzkonto mit festen Parametern für „Risiko pro Trade“. Am Monatsende erhalten Sie das Original „Monthly Statement“ unseres Brokers. Haben wir einen Gewinn (Referenz: Equity) auf Monatsschlusskursbasis erwirtschaftet, berechnen wir Ihnen 25% des Gewinns als Signaldienst-Gebühr. Haben wir keinen Gewinn im abgelaufenen Monat erzielt, zahlen Sie auch keine Gebühr.
Was heißt das ganz praktisch?
Wenn Sie unsere Trades mit gleicher Kontogröße (1.000,00 Euro) und gleichem Risikobetrag (16 ,00 Euro) mithandeln, verbleiben Ihnen 75% der Gewinne – nur 25% der Gewinne wenden Sie als Signaldienst-Gebühr auf. Wenn Sie diese Strategie mit dem 10-fachen Kapitaleinsatz fahren und dann auch den 10-fachen Risiko-Betrag wählen, reduziert sich die Signaldienst-Gebühr auf 2,5% Ihres Gewinns. Grundlage der Abrechnung ist immer unser reales Konto. Beispielhaft sind hier die Ergebnisse der letzten 2,5 Jahre aufgeführt:
Übermittelung der Signale
Sie erhalten vollautomatisch eine E-Mail zu jeder Orderplatzierung, Orderausführung und Orderlöschung und haben so die Möglichkeit die Strategie 1:1 nachzubilden.
Am ersten Tag eines Monats erhalten Sie unser „Monthly Statements“ des real gehandelten Kontos. Dieses Konto bildet einzig und alleine die Grundlage für die erfolgsabhängige Gebühr dieses Signaldienstes. Maßgeblich ist die ausgewiesene „Equity“ am Monatsende im Vergleich zur ausgewiesen „Equity“ des Vormonats. Wenn dieser Monat-zu-Monat-Vergleich „positiv“ ist, stellen wir Ihnen 25% dieses Betrags als Gebühr für diesen Signaldienst für den abgelaufenen Monat in Rechnung. Abrechnungsmonate sind immer vollständig abgelaufene Monate, Buchungen im laufenden Monat werden zeitlich anteilig verrechnet.
Die praktischen Grundlagen dieses Signaldienstes werden wir Ihnen in einem ca. 60-minütigen Webinar (Online-Seminar) vorstellen. Hier möchten wir Sie mit den Signalen vertraut machen und insbesondere die Risiko Berechnungen an praktischen Beispielen vorstellen. Die einmalige Gebühr beträgt 39,00 Euro. Das Einführungs-Webinar kann nicht aus der Buchung dieses Signaldienstes abgewählt werden.
Die Eckdaten noch einmal in Kürze
Impulskerzen-Trad ing auf D1-Basis für die Währungspaare AUD/CAD, GBP/CAD, USDJPY, GBP/AUD, USD/AUD, EUR/USD, USD/CHF, GBP/USD, CAD/CHF, CAD/JPY, AUD/USD, EUR/CAD, EUR/AUD und CHF/JPY.
Ca. 4,6 Trades pro Woche
Grundlagen:
Segnali di trading price action e strategie forex – SUPER Analisi Settimana entrante
Segnali di trading price action e strategie forex
SUPER Analisi Settimana entrante
Salve a tutti, benvenuti su Forex Strategico, analizziamo i grafici forex . cfd, quindi indici e metalli preziosi, con l’ausilio di strategie avanzate di analisi tecnica e segnali di price action . vediamo insieme quali possibili scenari futuri potrebbero delinearsi nei mercati valutari e non solo.
CALENDARIO ECONOMICO
Iniziamo con un po’ di analisi fondamentale. aspettando l’analisi puntuale di Valentino Zannoni con il suo appuntamento dedicato ai Market Movers, diamo insieme unno sguardo al calendario economico della prossima settimana, che a differenza della precedente, è molto ricco e denso di eventi importanti:
Martedì 30 Luglio, quando da noi sarà mattina prestissimo, praticamente notte fonda, sarà possibile l’intervento pubblico di Kuroda, Governatore del Banco del Giappone.
Alle 5 di mattina avremo il discorso di Stevens, Governatore RBA (Reserve Bank of Australia)
Mercoledì 31 Luglio ci attende il FOMC, quindi importante evento per il biglietto verde, sarà alle 20.00 Italiane.
Giovedì 1 Agosto alle 13 sarà tempo di notizie dall’inghilterra, con il tasso ufficiale che secondo le attese non verrà cambiato, rimarrà all’attuale valore di 0.5%
Alle 14.30 invece ci sarà la conferenza stampa della BCE, Banca Centrale Europea
Infine la settima si chiuderà Venerdì 2 Agosto con uno degli eventi che ogni mese di solito genera più volatilità, gli NFP, (Non Farm Payrolls ) ORE 14.30 di Venerdì 2 Agosto.
ANALISI TECNICA FOREX SEGNALI DI TRADING
Molti mi chiedono, cosa succederà all’oro?
Diverse persone che operano senza una strategia ben precisa, sono rimasti impigliati anche con grossi volumi utilizzando la leva finanziaria impropriamente con operazioni senza stop loss di tipo BUY a 1500 1600. Così mi mandano email chiedendomi cosa devono fare.
La risposta è semplice, non lo so cosa dovete fare .
Io mi limito a fare le mie analisi e proporre le nostre strategie forex per un trading organizzato e serio, strumenti di trading e opportunità di investimento, non posso assolutamente risolvere situazioni che si sono create sul vostro conto a seguito di trading non accorto e non pianificato correttamente. Se sul vostro conto avete fatto un incidente guidando contro mano e avete distrutto la macchina, mi sa che sarete costretti a comprarvi una macchina nuova o andare a piedi.
Non ricostruisco veicoli incidentati, insegno solo a guidare. Mi spiace.
Tornando all’analisi di trading price action operativa, qui sull’oro si sta formando un canale di breve rialzista che potrebbe essere però una normale divergenza del downtrend primario come nel caso precedente di Aprile. (vedi teoria di dow ).
Questo canale rialzista di breve, sta andando a sbattere dritto dritto contro una resistenza livello chiave molto importante, potrebbe succedere come successe a fine Aprile.
Cosa successe a fine Aprile?
Come ho evidenziato sul grafico, abbiamo avuto un momento di circa una decina di giorni di lateralità e continue fakey della resistenza, prima di assistere ad un nuovo crollo del metallo prezioso. Potrebbe succede ancora, oppure potrebbe continuare la salita e fare questa mossa più su, a 1430. Venerdì si è formata una pin bar a favore del canale rialzista, è possibile sfruttarla per brevi trade long, mi raccomando conservativi. visto che siamo proprio sotto la resistenza di 1370 e non c’è tantissimo spazio, ci sta giusto giusto un trade con risk reward di 1:1 o 1:2 a seconda di dove decidete di entrare.
Una volta arrivati a 1370, se siete long meglio chiudere e portare a casa il profitto, a quel punto a meno di un breakout staremo molto concentrati per vedere se appare un segnale di price action short.
Il Nuova Zelanda Dollaro ha avuto un guizzo e si è fermato proprio sul livello di resistenza 0.81 che avevamo mostrato Giovedì in questo articolo di analisi tecnica forex. Venerdì si è formata una candela giapponese doji di incertezza che potrebbe fornire spunto per trades di tipo ribassista, controtrend, operare in questo modo si definisce anche swing trading .
Non era molto chiaro se questo supporto a 99 avrebbe tenuto facendo da base di appoggio per movimenti al rialzo oppure no. Tuttavia Venerdì c’è stata una rottura molto netta del livello, proprio a seguito della formazione di un engulfing pattern. segnale di price action che poteva fornire un’indicazione in tal senso. Ovviamente chi opera con i segnali di price action contestualizza i segnali in base alla situazione di mercato, e questo non era certo uno dei migliori se contestualizzato.
PS: L’indicatore forex PA Opportunity. il primo indicatore forex per la price action aveva perfettamente rilevato il segnale, vedi lo screen.
Il Fiber euro dollaro ha fatto esattamente il movimento che avevamo previsto in questo articolo di analisi tecnica
Il fiber presenta una candela doji ben formata su una resistenza importante, 1,3300, aspettiamo un breakout per movimenti long fino a 1,3400 oppure se la doji venisse violata al ribasso potremmo vedere un nuovo movimento fino a 1,3200.
Grazie vivamente per essere stati con noi!
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TRO MultiPair Indikator für MetaTrader
Traders TRO MultiPair MetaTrader Indikator
Der Traders TRO MultiPair MetaTrader Indikator basiert auf verschiedenen maßgeschneiderten Indikatoren und stellt die Trendrichtungen von verschiedenen Währungspaaren in allen verfügbaren Zeitrahmen gleichzeitig dar. Der Indikator, sowie die dazugehörige Legende werden dabei in einem separaten Fenster dargestellt. Die Daten dieses Indikators können ihnen bei der Entscheidung, in welche Richtung Sie eine Position eröffnen helfen. Da der TRO MultiPair einiges an Ressourcen benötigt, sollten Sie alle Zeitrahmen, die Sie nicht benötigen deaktivieren. Der Indikator funktioniert aktuell nur im MetaTrader 4 (MT4).
pairs (default = GBPUSD;EURUSD;USDCHF;USDJPY) - dargestellte Währungspaare. Einfach mit Semikolon trennen.
timeFrames (default = M1;M5;M15;M30;H1;H4;D1;W1;MN) - Zeitrahmen, in denen der Indikator arbeiten soll. Einfach mit Semikolon trennen.
myAlert (default = false) - wenn "true", werden Alarme aktiviert.
ShowLegend (default = true) - wenn "true", wird die Legende im Indikator angezeigt.
ShowCount (default = true) - wenn "true", wird die Anzahl der Up - and Downsignale angezeigt.
Other parameters - Anzeigenoptionen.
Der Handel mit diesem Indikator ist sehr intuitiv. Wie man in der Legende sehen kann, gibt es starke, schwache oder neutrale Signale. Man kann den Indikator natürlich in seine eigene Strategie integrieren oder direkt Trades nach den Signalen eröffnen. Es wird aber empfohlen, nur Trades zu eröffnen, wenn alle Zeitrahmen in einem Währungspaar in die gleiche Richtung zeigen und keine schwachen oder neutralen Signale vorhanden sind. Wenn die Signale, auf deren Basis Sie den Trade eröffnet haben wieder in der Minderheit sind, schließen Sie die Position.
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Alle unsere Services sind absolut kostenlos!
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piccolo risveglio di tutte le valute contro USD con ottimo rialzo di AUD, solo GBP stenta, come da previsioni su analisi mensile, commodities ancora sull’incerto anche se non sembra finito il momento Bearish.
Annunci per domani: PIL AUD nella notte, IPC EUR, Tasso di interesse CAD e vari altri annunci macro, ma, soprattutto discorso della Yellen, quindi occhi aperti su eventuale speculazione.
ITA: è in una potenziale sell zone, vedremo se l’annuncio sul PIL nella nottata porterà a nuova discesa
ENG: is in a potential sell zone, take a look for short signal especially after PIL overnight data
ITA: conferma quota 1.51 come resistenza e sembra proprio prossima a nuova discesa, monitoriamo per posizioni short
ENG: level 1.51 is still a resistance, trend overall Bearish so take a look for PA Short signal at any retrace
ITA: cross delle EMA e path fakey con il recente consolidamento, zona EMA rispettata come resistenza dinamica, direi che ci sono molti elimenti per fa pensare a posizioni short
ENG: EMA’s cross and respected as dinamyc resistence, there’s also a fakey path on recent consolidation, there’re many signal for short position
ITA: chiudura ancora sotto 1069, siamo sempre per posizioni short ad ogni segnale di PA nei TF inferiori
ENG: closes below 1069 resistance, we’re still bearish biased so take a look for every PA short signal in lower TF
E’ tutto, Notte Traders!
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Posted by: Rabozzi Luigi | on novembre 29, 2015
alla fine la sorpresa è arrivata al venerdì nonostante la chiusura anticipata di Wall Street, USD è tornato con forza sul mercato e ne hanno risentito soprattutto le materie prime, stroncati anche i tentativi di inversione di trend di molte coppie Forex.
Vedremo nella settimana entrante che chiude anche il mese di Novembre se ci saranno path di ripresa dei trend pro USD interessanti.
Annunci della Settimana: tasso di interesse AUD, PIL CAD, PIL AUD, Tasso di intresse CAD, Tasso di interesse EUR, PIL EUR, Variazione Occupazione CAD e, come sempre ad inizio mese, Non Farm Payrolls e Disoccupazione USA.
Passiamo ai grafici:
ITA: fallita la possibile ripartenza su 1.51 con la rottura del path inside-bar verso il basso, siamo al limite di nuova ampia discesa, se rompe i minimi non ci sono ostacoli sino ad 1.47
ENG: fails trend inversione and broke inside-bar path to the lows, under 1.50 may fall to 1.47, look for bearish PA signal
ITA: al momento rispetta quota 1.34200 circa come resistenza cerchiamo segnali per un possibile trade in range
ENG: level 1.34200 respected as resistance in W1 chart, trade in range with 1.30700 possible, search for berish PA signal in lower TF
ENG: broke level 1.024 trend is very bullish so let’s look for PA Long signal at any retrace/confirmation of level as new support
ITA: path inside bar ancora valido così come il supporto a quota 184.25 circa, c’è ancora margine per risalita, monitoriamo per eventuali segnali di PA Long
ENG: inside-bar path still valid and support 184.25 too, bullish trade still possible take a look for Long PA signal in support zone, better D1
ITA: sempre molto debole scende anche sotto 119.77, monitoriamo per segnali di PA short ad ogni rintracciamento/conferma del livello come nuova resistenza
ENG: broke 119.77 and bear are still in control, look for PA bearish signal at any retrace/confirmation of level as new resistance
ENG: level 14 is still a support, bear are in control but we can search for a reaction on support, we need a strong D1 signal for reverse trade
ITA: molto debole scende sotto i minimi di Luglio, cerchiamo segnali short ad ogni rintracciamento con conferma di quota 1069 come resistenza
ENG: very weak we can be seller at any restrace to 1069 with PA bearish signal, next target 1044
ITA: quota 17865 è ancora una valida resistenza, trade in range con quota 17000? Monitoriamo per eventuali segnali short
ENG: level 17865 is still a valid resistance, possible trade in range with level 17000? Look at possible berish PA signals
ITA:scende dal segnale bearish citato nelle analisi della settimana, c’è margine per ulteriore discesa, monitoriamo segnali short ad ogni rintracciamento
ENG:sell off from possible sell zone discussed in week analisys, there’s still more room for downtrend, look for bearish PA signals at any retrace hight
ITA: siamo al limite dell’invalidazione del path inside bar precedentemente segnalato, monitoriamo segnali di PA short alla rottura dei minimi
ENG: we are at invalidation limits of inside-bar setup discussed in the last week, look close at broken lows for new downtrend
E’ tutto, buona settimana Traders!
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Posted by: Rabozzi Luigi | on novembre 26, 2015
giorata molto tranquilla, come era logico attendersi data la chiusura di WS, nessuno strano colpo di coda, anche domani, sulla carta, dovrebbe esserci poco movimento dato che gli orari di apertura saranno ridotti.
Dal punto di vista degli annunci l’unico di un certo rilievo sarà quello del PIL GBP, attenzione però che tra i pochi grafici che andremo a presentare GBP sarà presente.
ITA: abbiamo un path inside bar con piccola tailed bar bullish in zona supporto, sembrerebbe che ci siano le premesse per una ripartenza verso l’alto, ma manca il segnale decisivo, monitoriamo nella giornata di domani con un particolare occhio alle notizie sul PIL
ENG: inside-bar path with small bullish tailed bar on support, there’s a possibility for a new Long range, beware of PIL news in the morning, maybe it’s a good moment for bullish lower TF PA signal
ITA: path molto simile a quello di GBP/USD anche qui abbiamo una inside bar, monitoriamo la rottura verso l’alto per nuove posizioni Long
ENG: same path as GBP/USD close look at inside bar break to the hights for new Long position
ITA: forte conferma di quota 22945 come resistenza, ottima pinbar bearish che lascia pensare a nuova discesa, monitorimo per segnali di PA short ad ogni rintracciamento
ENG: strong PA bearish signal at 22945 resistance, look for bearish confirmation signal at any retrace to resistance
ITA: path di ieri ancora valido, cerchiamo conferme per posizioni Long, short sotto i minimi della pinbar bullish di ieri
ENG: yesterday path still valid, look for bullish PA signal for Long position, we can consider short under the minimum of yesterday pinbar
E’ tutto, Notte Traders!
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