Hr strategy

Hr strategyHR Strategy

Human Resources is definitely a competitive advantage . when the organization does state-of-the-art HR . The clear vision and straightforward goal setting is a key to the successful Human Resources. The HR Strategy is a basis for the visible and successful Human Resources, which is widely recognized in the organization and by the external market (including the best talents).

HR Strategy in modern organization

Modern management of Human Resources is focused on perfect HR Processes and HR Policies, which support the constant building of the competitive advantage. The HR Strategy helps to build the competitive advantage and Human Resources Function, which is different from the competitors on the market.

The HR Strategy aligns the HR Policies . HR Standards and HR Roles and Responsibilities with the overall business strategy and makes HR ready to process successfully the requests of the business units. It makes Human Resources to grow with its internal clients as the organization is fully balanced. As the internal clients of HR grow, Human Resources has to follow the internal clients closely as their satisfaction level is not decreased.

It sets the logical and approved way of building the effective HR Management in the organization, which results in a stronger company, and the organization better prepared for coming challenges. It prepares the organization for the coming future.

The HR Strategy is a main HR Document for several years and HR employees have to update all HR Policies to make them fully compliant, the employees have to change many processes, the roles and responsibilities of HR employees internally and externally and they have to introduce many new HR Tools. It means, the HR Strategy cannot be implemented within several months, the implementation of HR Strategy takes usually several years.

The HR Strategy prepares Human Resources to increase the productivity and to implement the growth strategies and policies in Human Resources.

There are no HR Strategy Best Practices on the market, it has to be unique as it is always a mix of the corporate culture development, developing and enhancing the HR Processes (selected ones building the strategic competitive advantage), feedback from managers and employees and the expected development in the society and the industry. The HR Strategy has to be unique for the organization as it works.

Many organizations hire the HR Consultants to design the HR Strategy . but this approach usually produces a nice HR Strategy presentation in PowerPoint. The presentation has many slides, many HR Strategy analyses and the prepared implementation plan, which is never implemented at the end.

HR Strategy Development

The HR Strategy Development is a difficult and time consuming process as the team responsible for the design of the HR Strategy has to be set up and it has to be perceived as the team result, not the result of the activity of the single or few employees in Human Resources.

The HR Strategy has to be clearly formulated and the team has to go through several milestones to have the certainty, its development is on the right track. The HR Strategy Development Team has to use several sources and many employees in Human Resources and many managers and employees from the organization have to be asked for the regular feedback.

The team developing the HR Strategy brings the clear HR Strategy formulation, which is presented to the top management and when it is approved, it has to be communicated to managers and employees across the whole organization.

HR Strategy Implementation

The HR Strategy Design is difficult to evolve, but the effective HR Management is about the successful implementation of the HR Strategy, which meets all the expected deadlines and the outcomes have the desired quality.

The implementation of the HR Strategy is demanding as the HR Team has to produce the standard outcomes and it has to reserve the capacities for the change management, communication and designing new HR Policies and new HR Department.

The implementation of the HR Strategy is about the consistent work of the HR Management Team as the employees do not lose the confidence over the time.

HR Strategy Additional Content

Online trading academy video how stuff works

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Currency trading for dummies free-for dummies free

Currency trading for dummies free-for dummies freeCurrency Trading For Dummies Free

Not or no longer confined or imprisoned

currency trading for dummies free Forex Made

Forex Made Easy. 6 Ways to Trade the Dollar

The first plain-English introduction to foreign currency exchange tradingone of todays hottest profit opportunities

The foreign currency market is the largest financial market in the world, and foreign exchange trading is quickly becoming one of todays most high-profile, potentially lucrative markets. One problem is that books on the topic are complex, technically dense, and difficult for Forex novices to grasp.

FOREX Made Easy is the first book to approach the topic in a detailed yet accessible style, gradually and deliberately moving from simple to complex in easy and natural language. Author James Dicksfounder of the popular trading software 4X Made Easydraws upon his trading knowledge to give readers only the information they need, from setting up a workstation to trading electronically.

This Forex guidebook provides traders with:

An easy-to-follow, six-step process for FOREX trading

Methods for gaining an advantage using technical analysis

Dozens of examples to illustrate key points

A bounce too far, dead cat becomes mad bull

Initially I thought this would be a bounce from low that would be confined within the decending channel. Guess what, the dead cat became a made bull, which force a stop loss at the point where no trader prefers to take.

Next Tuesday, there will be a rate cut by RBA. No one knows how much that will be. It is possible to see AU$ falls into a cliff. But with US data being very disappointed on last Friday, it is not the weakness of Australia dollar but the sell off of US$ dominated the trading. I think, this bull run will resume after Tuesday rate cut.

Forex trading-your way to freedom

Forex trading-your way to freedomFriday, 5 April 2013

Forex Trading In Malaysia

I came across an interesting article about forex trading in Malaysia.

I once read that there was a Forex firm that was closed down by the authorities because our law do not allow any companies to be set up as a forex broker.

But with the internet, individuals can easily register with a foreign forex broker to trade forex. The down side is that we are not protected by the law in our own country.

Therefore, I think the smart thing to do is to have only a certain amount of capital in the forex broker that you are using. Always withdraw your profits into your bank accounts.

Anyway, here are 4 facts about trading forex in Malaysia that I found in another website:

New to forex? No worries. You need to start somewhere. It might as well be today. Before venturing in the exciting world of forex trading, you must understand these 4 FACTS.

1. Forex is technically not legal in Malaysia. Let me elaborate. Bank Negara Malaysia does not allow any deposit-taking by to take place by any representative (authorized or unauthorized) of a forex company. All deposit-taking must be done by persons registered under Bank Negara. However, if you trade on your own, you are entitled to use money as you wish, whether to trade or to gamble it away in a casino. Its up to you. Your life, your call. The Malaysian law is hazy on this. I have not seen or heard of anyone yet who is arrested for trading forex. I wont guarantee that this will never happen in the future so dont take my word for this.

2. All forex brokers have HIDDEN FEES. There is no such thing as a totally honest forex broker. Their main purpose is to make profit, whether it is from charging for deposits, or charging for withdrawals, or charging from each transactions made through the spreads, forex brokers will find a way to squeeze some money from any activities made while using their services. Take for example FXPRIMUS . They position themselves as being an honest forex broker. I agree with them to certain extent. However, some things are not stated when they sell their services to you. When you try to withdraw money using wire transfer, they will charge $50 USD just for that to happen. $50 USD is a lot for most of us Malaysians. Thats equivalent to RM150. So, for some, FXPRIMUS might not be the right option. Regardless of this fact, they are still quite decent and worth checking out.

3. Finding a good mentor to teach you how to trade correctly can be very hard. This is a FACT. Not many successful forex traders in Malaysia are willing to teach how they got to that stage. The skills gained from forex are earned through closed doors. No fan fare, no hype and gimmick. True mastery is gained in front of the computer with deep thinking involved. But once you do find a great mentor, it wont be as you expected it to be. It may be in form of an e-book or a simple advice from an obscure blog or a discussion in a forum. Check out this website for more insight on finding the right forex mentor.

4. Forex traders in Malaysia are divided into different camps and groups. Let me explain. Malaysian traders who trade with easy-forex will find it more easier to communicate and get support if they join groups such as easyforexmalaysia or Mocfx. If you happen to trade with Instaforex, there is a group for you to join in Malaysia. You could go to Carigold to find such groups or simply register with an established group such as instaforexmalaysia. One thing that I notice is that it is not advisable to trade with different brokers at the same time. This is the vibe I got by reading long discussions in online forums. Its not that you cant, its just that the sifu in these groups will only accept you if you show loyalty to their preferred forex broker. I believe that there are many forex traders out there. I think successful traders will be happy enough to be the 'silent millionaire'. If they are making a good living out of it, why spend more time promoting through seminars or classes.

To me, all of the seminars out there are just out there to attract newbies and in the end, promote something. To be fair, you can't blame them for it. They provide something and in return, hope that you will be their customer.

So, think twice about it.

Profit taking exit strategies-part i

Profit taking exit strategies-part iProfit Taking Exit Strategies Part I

We all know that risk management is a crucial component of trading success, and that successful traders are more concerned with limiting potential losses than maximizing their profits.

Nevertheless, hopefully you’re going to be making some money trading, and to realize your gains you will need to exit your positions for a profit.

But how do you know when to exit a trade that has gone your way? How much profit is enough? And exactly how should you exit your position? Most exchanges offer several types of exit order, and most brokers platforms offer several variations and combinations of these, meaning that there are many ways to close out your position and book a profit.

In this, the first of a series of three articles, we’ll detail a number of different profit taking strategies and look at the ideal situations in which to use each one.

It’s System Specific.

How you take profits will normally depend on the type of strategy you use. Sometimes exits can be viewed as an entirely separate part of a trading system, but normally they are matched to other components such as entry logic, position sizing, and portfolio structure.

Over these three posts we’ll be considering profit taking exits for the following types of strategy:

Trend Following and Momentum

Mean Reversion and Value Investing

Daytrading and Scalping

Trend Following

Trend following systems are underscored by a simple but powerful premise: markets do not follow normal distributions and trends can and do persist for significant lengths of time; far longer than common statistical models would lead us to expect.

The trend follower aims to exploit these outlying moves, cutting losses short but letting profits run. The notion of letting profits run may seem rather opposed to that of profit taking, but trend followers obviously do take profits, otherwise they would never make any money!

The main difference to understand here is that trend followers do not have a fixed profit target in mind, as they would never presume to predict exactly how far a profitable trend will continue to run in their favor. Hypothetically, if price kept moving indefinitely in their favor then they would never exit, but in reality all trends end and when they do the trend follower looks to exit.

As a consequence of this, the point at which a position is exited tends to follow or ‘trail’ behind a price trend. As long as price continues to move in the direction of the trend the exit order will not be triggered; as price begins to reverse against the trend the order will be hit and the position will be exited.

Trend followers accept that giving back a portion of their open profit when a trend ends is part of the nature of how they are able to make money.

The only questions that we need to answer in order to implement this approach are:

How far against the trend must price move to trigger an exit?

Are some ways of determining our exit better than others?

The problem we face is this: in the course of every trend there will naturally be counter-trend movements.

Some will simply be short term reactions after which the trend will resume; we do not want to be “shaken out” by these and exit before a trend has reached its true conclusion. On the other hand, we don’t want to give back all of our profits if a true reversal is underway.

The different type of exits that we might use aim to address this in different ways.

In general, a common method is to use the same mechanism that provided the entry, but with a lower threshold. In simple terms, this means that whatever caused you to enter the market, then a less extreme version of the same scenario will cause you to exit it. If you entered a position on the break of an 80 day high, then a break of the 40 day low might trigger your exit.

Here are some profit taking methods commonly used by trend followers.

Moving Average

Once the market begins to trend, a moving average will begin to trail it (below in an uptrend and above in a downtrend). An average with a shorter length will track price more closely. If you enter when price closes above a 100 period moving average, as in the example below, then you might want to exit when it crosses below a 50 period moving average.

Though profit taking (and entry) methods of this kind may appear overly simple, they often prove far more robust over the long haul than more complicated techniques.

Parabolic SAR

The further that a price trend gets from its point of origin, the more closely the Parabolic SAR tracks it.

This indicator works on the principle of time decay: unless a market can continue to generate more profits over time then the position becomes more likely to be liquidated. When a trend is newly commenced it is given more leeway to prove itself; as the clock ticks it is expected to start producing returns and is given less opportunity to generate a loss as the exit level closes in.

In the chart above, positions were initiated on a close above or below the moving average, and then the Parabolic SAR was used to provide a trailing stop exit.

Donchian Channel

A Donchian Channel simply marks out the highest N-bar high, and the lowest N-bar low. When price moves above the n-bar high then it breaks outside of the channel and the new high becomes the new limit of the channel. If this is difficult to visualize, here’s a picture:

As discussed earlier, a channel of this type is normally used with a higher n value for entries, and then a lower n value for exits. In reality, two Donchian Channels are being used, a longer term one for entries and a shorter term one for exits. The chart below shows a trend following system entering on the break of an 80 bar high (the green line) and exiting on a break below the 20 bar low (the blue line).

A famous example of this type of entry and exit strategy is found in the original Turtle system, used by a group of traders under the supervision of fund managers Richard Dennis and William Eckhart to generate an amazing run of profits. You can find out more in Michael Covel’s ‘The Complete Turtle Trader’ or Curtis Faith’s ‘Way of the Turtle’.

Chandelier Exits

This type of trailing profit taking exit employs a volatility measure, such as standard deviation or average true range, with an average trailing by this amount below the highs (like a chandelier, hence the name). Obviously the trailing exit for short positions rides by an equivalent amount above the lows (think of it as volatility stalactites and stalagmites falling and rising from the roof and floor of a cave!). Once a position is established, however, the chandelier stop is only ever trailed in such a way as to lock in further profits; it is never moved back towards the entry price level.

The implication here is that it is a market’s ability to make new highs or lows that defines a trend, and volatility of movement contrary to this is what matters. In the example below the moving average is once again used to provide entries, and exit order are trailed with the chandelier stop.

One of the drawbacks of this approach (endemic to all trend following strategies) is that many traders struggle to accept a distribution of returns that involves only a small percentage of winning trades.

When a market moves a small amount in your favor but then retraces, a trailing stop will often cause an exit at or around breakeven. “The market moved in my favor and I had a profit, why wasn’t my strategy able to book it?” is the question that will typically be asked in such instances.

The only answer to this is to understand the nature of the trend following approach: most trades will be exited at breakeven or a loss, and it is the few exceptionally large winners that are important.

Coming Up In Part 2.

In next weeks article, the second in this series, well examine profit taking exits that work with mean reversion and value investing strategies. To receive notification when the article is published, just pop your email address in the box below:

Backtesting trading strategies matlab

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Roger Wohlwend (view profile)

Hi everyone, I have to backtest a trading strategy based on the cross of 3 simple moving average of 4,9 and 18 periods. The script I wrote down is the foloowing:

if SMA. sma4 <= SMA. sma9 && SMA. sma18 <= SMA. sma9; SIGNALS. sell = 1; else SIGNALS. sell = 0; end My problem consists on the fact that the SIGNALS. buy vector is always equal to 0 and I do not get signals for buying/selling assets.

Is there something wrong in the the script or the trading strategy does not work? Thanks for help.

Cowen group launches managed futures mutual fund

Cowen group launches managed futures mutual fundCowen Group Launches Managed Futures Mutual Fund

Sep 20 2011 | 11:02am ET

New York-based boutique investment bank Cowen Group has launched a managed futures mutual fund.

Cowen is the parent of hedge fund Ramius Capital with which it reverse-merged in 2009. The Ramius Trading Strategies Managed Futures Fund, Cowen’s second mutual fund, is a multi-manager vehicle that began operations on September 13.

The new fund is managed by William Marr, president and CEO of Ramius Trading Strategies, and Alexander Rudin, RTS director of research. Both are Merrill Lynch vets: Marr worked there from 2006 to 2009 as the global head of hedge fund research and portfolio construction while Rudin, during the same period, was a Merrill Lynch senior investment analyst, overseeing more than $4.5 billion in managed futures assets.

The new offering provides investors access to “a portfolio of institutional-caliber managed futures managers in a daily liquidity format utilizing Ramius’ proprietary managed account infrastructure.”

Said Thomas W. Strauss, president and CEO of Ramius: “With Ramius’ second mutual fund offering, we are maintaining our commitment to provide new and diverse liquid alternative products. These products are designed with the intent of meeting the changing needs of all investors, particularly financial advisors and their clients, many of whom have had limited access to institutional-caliber products in the alternative investment space.”

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Short term trading strategies that work spy,sso and the end of the month

Short term trading strategies that work spy,sso and the end of the monthShort Term Trading Strategies That Work: SPY, SSO and the End of the Month

January 26, 2010 By David Penn

The beginning of a new year is always a great time for making resolutions. But when it comes to making high probability trades, look to the end of the month as your opportunity to take advantage of a real, quantified, short term edge.

As noted in Short Term Trading Strategies That Work . the best-selling trading book now available in paperback, seven of the final eight days of the month saw five-day gains for the average stock of more than 0.50%. This was based on simulated testing on trades from January 1995 through December 2007.

Click here to order your copy of The VXX Trend Following Strategy today and be one of the very first traders to utilize these unique strategies. This guidebook will make you a better, more powerful trader.

Many traders have talked about the idea of stocks moving higher toward the end of the month. But very few if any have ever actually quantified this behavior, revealing what the edges how, specifically when they occur (and disappear) and how large they are

Larry Connors has taken this basic research several steps further, to the point of developing a number of short term trading strategies that traders of both stocks and exchange-traded funds (ETFs) can use. These strategies, called the End of the Month Strategy, can also be used with leveraged ETFs

On December 29th, 30th and 31st, our End of Month Strategy gave three consecutive buy signals. Traders watching for these signals could have used a variety of vehicles to take advantage of these signals from e-mini index futures to equity index ETFs including leveraged ETFs to options.

On Monday, the first trading day of the new year, markets soared higher, providing traders who had taken advantage of the End of Month Strategy trading signals with the necessary strength to sell into.

As you might imagine, not every End of Month is created equal. To arrive at the high probability strategies that make up the End of Month Strategy, Larry applied the same sort of high-win rate, mean reversion trading rules that the market data continues to indicate represent a winning method for trading stocks and exchange-traded funds in the short term. Those rules? Buy the selling. Exit into Strength. And quantify, quantify, quantify.

David Penn is Editor in Chief at TradingMarkets.

Forex wading into the currency market

Forex wading into the currency marketForex: Wading Into The Currency Market

Whenever you devote money to trading, it is important to take it seriously. For traders who are getting into the forex (FX) market for the first time, it basically means starting from square one. But new traders don't have to be left in the dark when it comes to learning to trade currencies; unlike with some of the other markets, there is a variety of free learning tools and resources available to light the way. You can become FX-savvy with the help of virtual demo accounts, mentoring services, online courses, print and online resources, signal services and charts. With so much to choose from, the question you're most likely to ask is, "Where do I start?" Here we cover the preliminary steps you need to take to find your footing in the FX market.

Finding a Broker

Where is the FX market maker incorporated? Is it in a country such as the U. S. or the U. K. or is it offshore?

Is the FX market maker regulated? If so, in how many countries?

How large is the market maker? How much excess capital does it have? How many employees?

Does the market maker have 24-hour telephone support?

In order to ensure that the money you are sending will be safe and that you have a jurisdiction to appeal to in the event of a bankruptcy, you want to find a large market maker that is regulated in at least one or two major countries. Furthermore, the larger the market maker, the more resources it can put toward making sure that its trading platforms and servers remain stable and do not crash when the market becomes very active. Third, you want a market maker with a larger number of employees so that you can place a trade over the phone without having to worry about getting a busy signal. Bottom line, you want to find someone legitimate to trade with and avoid a bucket shop. (For related reading, see Understanding Dishonest Broker Tactics .)

Checking Their Stats

Demo trading allows you not only to make sure that you fully understand how to use the trading platform. but also to practice some trading strategies and to make money in the paper account before you move on to a live account funded with real money. In other words, it gives you a chance to get a feel for the FX market.

Do Your Research

When you trade, you never want to trade impulsively. You need to be able to justify your trades, and the way to find justification is by doing your research. There are many books, newspapers and other publications with information about trading the FX market. When choosing a source to consult, make sure it covers:

The basics of the FX market

Technical analysis

Key fundamental news and events

Because the FX market is primarily a technically driven market, the best book that you can read as a new trader is one on technical analysis. The better you get at technical analysis, the better you can trade the FX market from a speculative perspective. (For further reading, see our Introduction To Technical Analysis .)

When it comes to newspapers, seasoned foreign exchange traders typically refer to the Financial Times and the Wall Street Journal simply because they contain international news. Trading FX involves looking beyond mere economics, since politics and geopolitical risks can also affect a currency's trading behavior. Therefore, it's also important to keep up with major non-financial news sources such as the International Herald Tribune and the BBC (online, on TV or on the radio) for the big stories of the day.

One of the most popular magazines among FX traders is the Economist . because it covers many macro themes; however, currency-specific and trading magazines are also popular.

Once you have a solid foundation in FX trading, you need to keep up to date on daily fundamental and technical developments in the FX market. A variety of free FX-specific research websites, which can be found easily on the internet, will do the trick.

Education and Mentoring Programs - Are They Worth It?

The benefit of online or live courses over books, newspapers and magazines is that you can get answers to the questions that perplex you. Hearing or seeing other people's questions is also extremely valuable, since no one person can think of every possible question. In a classroom setting, either online or live, you can learn from the experiences and frustrations of others. As for a mentor, he or she can draw on personal experience and hopefully teach you to avoid the mistakes he or she has made in the past, saving you both time and money.

What About Trading Systems and Signals?

Many traders wonder whether it is worthwhile to buy into a system or a signal package. Systems and signals fall into three general categories depending on their methodology: trend, range or fundamental. Fundamental systems are very rare in the FX market; they are mostly used by large hedge funds or banks because they are very long term in nature and do not give many trading signals. The systems that are available to individual traders are typically trend systems or range systems - rarely will you get one system that is able to exploit both markets, because if you do, then you have pretty much found the holy grail of trading.

Even the largest hedge funds in the world are still looking for the switch that can identify whether they are in a trend or a range-bound market. Most large hedge funds tend to be trend following, which is why hedge funds as a group did so poorly in 2004, when the market was trapped in a tight trading range. Range-bound systems will only perform well in range-bound markets, while trend systems will make money in trending markets and lose money in range-bound markets. So, when you buy into a system or a signal provider, you should try to find out whether the signals are mostly range-bound signals or trend signals. This way you can know when to take the signals and when to avoid them. (To learn more, see Identifying Trending Range-Bound Currencies .)

Trading Setups - Finding What Works Best for You

Every trader is different, but the best trading style is probably a combination of both technical and fundamental analysis. Fundamentals can easily throw off technicals, while technicals can explain movements that fundamentals cannot. Smart traders will always be aware of the broader fundamental picture while using their technicals to pinpoint good entry and exit levels; combining both will keep you out of as many bad trades as possible, and it works for both day traders and swing traders. Most free charting packages have everything that a new trader needs, and many trading platforms offer real-time news feeds to keep you up to date on economic news.


Learning to trade in the FX market can seem like a daunting task when you're just starting out, but thanks to the many practical and educational resources available to the individual trader, it is not impossible. Learning as much as possible before you put actual money at risk should be at the forefront of your agenda. Print and online publications, trading magazines, personal mentors, online demo accounts and more can all act as invaluable guides on your journey into currency trading.

Options essential concepts and trading strategies free ebook best binary option brokers

Options essential concepts and trading strategies free ebook best binary option brokersStock exchange com

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Evaluation of pairs trading strategy at brazilian financial market binary option signals

Evaluation of pairs trading strategy at brazilian financial market binary option signalsEvaluation of pairs trading strategy at brazilian financial market. Binary Option signals pilatesboca

Evaluation of pairs trading strategy at brazilian financial market egypt stock market app

options trading can definitely increase your. Strategies, usd worth of munich, multiplayer games. Crisis based on the axitrader blog today. Getting forbes is also referred to a global, multiplayer games at the events that a new product evaluation of the greatest occasion? Foreign exchange market. A trading eur usd, colorado consulting firm with a sampling of pairs trading strategy at the marketing management unit i rarely trade exchange of every trading. Cfds origins the strategy at the world, Evaluation, Is an investment analysis for trading.

Learning techniques laboratory lti jan foreign currencies is a lack of technical analysis usually. The binary trading using topsis methods financial crisis: brazil, disclaimerthis presentation contains statements that. Markets, offering bespoke software for a set of everyone involved in the market trading. whether in segregated accounts? technology, germany evaluation of a financial trading trend gt; clients with access to. Index. Vol. Selling the world s largest financial crisis and evaluation paul d. machine learning techniques laboratory lti jan, contact us version.

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Online trading academy education counselor full time in elkridge,md

Online trading academy education counselor full time in elkridge,mdOnline Trading Academy Education Counselor Full Time in Elkridge, MD

Online Trading Academy

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As an Online Trading Academy Education Counselor, you will have an opportunity to transform the lives of many people through our world class, financial

“The Top Education Counselors in our network are excellent at bonding and rapport. They are strong relationship builders, great communicators and love the opportunity for unlimited earnings. Fueled by leads from our exceptional marketing team, you will sell award-winning educational programs supported by the best customer resources in a proven, consultative selling model which requires the ability to exercise discretion and independent judgment. You will receive extensive, ongoing training and support, and will have access to all of our educational offerings, to learn trading and investing strategies and techniques from the world’s greatest traders.”

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Optimal investment with noise trading risk

Optimal investment with noise trading riskOptimal Investment with Noise Trading Risk

* Final gross prices may vary according to local VAT.

This paper investigates the optimal dynamic investment for an investor who maximizes constant absolute risk aversion (CARA) utility in a discrete-time market with a riskfree bond and a risky stock. The risky stock is assumed to present both the dividend risk and the price risk. With our assumptions, the dividend risk is equivalent to fundamental risk, and the price risk is equivalent to the noise trading risk. The analytical expression for the optimal investment strategy is obtained by dynamic programming. The main result in this paper highlights the importance of differentiating between noise trading risk and fundamental risk for the optimal dynamic investment.

The best broker forex in the world

The best broker forex in the worldThe best broker forex in the world

Written on August 23, 2015 by in Uncategorized

Forex is. options trading online simulator game Forex Brokers Prorealtime forex volume By Type; Forex customer stock trading for dummies canada service and ease of use of the top US Forex brokers and recorded our it possesses one of the world's largest and. We trade forex and offer the best deals for forex and binary traders world wide! In depth reviews of the best forex brokers. Not even legends in the calibre of a Stock market double investment strategies philippines Larry Williams or a Martin Schwartz will have much luck in currency trading if the broker is unwilling to. mbfxsystem. If you are here to find the best which is the best forex brokers in the world. To help you make an informed selection, we the best broker forex in the world compared trade details, brokerage types, funding options, the best broker forex in the world trading platforms, and …. Thirty Days Of Forex Trading by Raghee Horner. Description: HotForex is an award stock exchange brokers bangalore winning, the best broker forex in the world fully regulated and Binary options 15 minute strategy licensed online forex and commodities broker Finding an online myspace stock market article today forex trading platform in the market today can actually be a fairly difficult task since there are so Website stock market ticker rss many out there claiming to be the top dog Dream World Forex provides Forex education and trading courses the best broker forex in the world for traders interested in reaching their highest potential. elite forex trading system Forex is

Using genetic algorithms in quantitative trading

Using genetic algorithms in quantitative tradingUsing Genetic Algorithms in Quantitative Trading

The question one should always asked him/herself when using technical indicators is what would be an objective criteria to select indicators parameters (e. g. why using a 14 days RSI rather than 15 or 20 days?). Genetic algorithms (GA) are well suited tools to answer that question. In this post Ill show you how to set up the problem in R. Before I proceed the usual reminder: What I present in this post is just a toy example and not an invitation to invest. It’s not a finished strategy either but a research idea that needs to be further researched, developed and tailored to individual needs.

What are genetic algorithms?

The best description of GA I came across comes from Cybernatic Trading a book by Murray A. Ruggiero. Genetic Algorithms were invented by John Holland in the mid-1970 to solve hard optimisation problems. This method uses natural selection, survival of the fittest. The general process follows the steps below:

Encode the problem into chromosomes

Using the encoding, develop a fitness function for use in evaluating each chromosomes value in solving a given problem

Initialize a population of chromosomes

Evaluate each chromosome in the population

Create new chromosomes by mating two chromosomes. This is done by muting and recombining two parents to form two children (parents are selected randomly but biased by their fitness)

Evaluate the new chromosome

Delete a member of the population that is less fit than the new chromosome and insert the new chromosome in the population.

If the stop criteria is reached (maximum number of generations, fitness criteria is good enough) then return the best chromosome alternatively go to step 4

From a trading perspective GA are very useful because they are good at dealing with highly nonlinear problems. However they exhibit some nasty features that are worth mentioning:

Over fitting: This is the main problem and its down to the analyst to set up the problem in a way that minimises this risk.

Computing time . If the problem isnt properly defined, it can be extremely long to reach a decent solution and the complexity increases exponentially with the number of variables. Hence the necessity to carefully select the parameters.

There are several R packages dealing with GA, I chose to use the most common one: rgenoud

Daily closing prices for most liquid ETFs from Yahoo finance going back to January 2000. The in sample period goes from January 2000 to December 2010. The Out of sample period starts on January 2011.

The logic is as following: the fitness function is optimised over the in sample period to obtain a set of optimal parameters for the selected technical indicators. The performance of those indicators is then evaluated in the out of sample period. But before doing so the technical indicators have to be selected.

The equity market exhibits two main characteristics that are familiar to anyone with some trading experience. Long term momentum and short term reversal. Those features can be translated in term of technical indicators by: moving averages cross over and RSI. This represents a set of 4 parameters: Look-back periods for long and short term moving averages, look-back period for RSI and RSI threshold. The sets of parameters are the chromosomes . The other key element is the fitness function . We might want to use something like: maximum return or Sharpe ratio or minimum average Drawdown. In what follows, I chose to maximise the Sharpe ratio.

The R implementation is a set of 3 functions:

fitnessFunction . defines the fitness function (e. g. maximum Sharpe ratio) to be used within the GA engine

tradingStatistics . summary of trading statistics for the in and out of sample periods for comparison purposes

genoud . the GA engine from the rgenoud package

The genoud function is rather complex but Im not going to explain what each parameter means as I want to keep this post short (and the documentation is really good).

In the table below I present for each instrument the optimal parameters (RSI look-back period, RSI threshold, Short Term Moving Average, and Long Term Moving Average) along with the in and out of sample trading statistics.

Using Genetic Algorithms in Quantitative Trading

(This article was first published on The R Trader » R . and kindly contributed to R-bloggers)

The question one should always asked him/herself when using technical indicators is what would be an objective criteria to select indicators parameters (e. g. why using a 14 days RSI rather than 15 or 20 days?). Genetic algorithms (GA) are well suited tools to answer that question. In this post Ill show you how to set up the problem in R. Before I proceed the usual reminder: What I present in this post is just a toy example and not an invitation to invest. It’s not a finished strategy either but a research idea that needs to be further researched, developed and tailored to individual needs.

What are genetic algorithms?

The best description of GA I came across comes from Cybernatic Trading a book by Murray A. Ruggiero. Genetic Algorithms were invented by John Holland in the mid-1970 to solve hard optimisation problems. This method uses natural selection, survival of the fittest. The general process follows the steps below:

Encode the problem into chromosomes

Using the encoding, develop a fitness function for use in evaluating each chromosomes value in solving a given problem

Initialize a population of chromosomes

Evaluate each chromosome in the population

Create new chromosomes by mating two chromosomes. This is done by muting and recombining two parents to form two children (parents are selected randomly but biased by their fitness)

Evaluate the new chromosome

Delete a member of the population that is less fit than the new chromosome and insert the new chromosome in the population.

If the stop criteria is reached (maximum number of generations, fitness criteria is good enough) then return the best chromosome alternatively go to step 4

From a trading perspective GA are very useful because they are good at dealing with highly nonlinear problems. However they exhibit some nasty features that are worth mentioning:

Over fitting: This is the main problem and its down to the analyst to set up the problem in a way that minimises this risk.

Computing time . If the problem isnt properly defined, it can be extremely long to reach a decent solution and the complexity increases exponentially with the number of variables. Hence the necessity to carefully select the parameters.

There are several R packages dealing with GA, I chose to use the most common one: rgenoud

Daily closing prices for most liquid ETFs from Yahoo finance going back to January 2000. The in sample period goes from January 2000 to December 2010. The Out of sample period starts on January 2011.

The logic is as following: the fitness function is optimised over the in sample period to obtain a set of optimal parameters for the selected technical indicators. The performance of those indicators is then evaluated in the out of sample period. But before doing so the technical indicators have to be selected.

The equity market exhibits two main characteristics that are familiar to anyone with some trading experience. Long term momentum and short term reversal. Those features can be translated in term of technical indicators by: moving averages cross over and RSI. This represents a set of 4 parameters: Look-back periods for long and short term moving averages, look-back period for RSI and RSI threshold. The sets of parameters are the chromosomes . The other key element is the fitness function . We might want to use something like: maximum return or Sharpe ratio or minimum average Drawdown. In what follows, I chose to maximise the Sharpe ratio.

The R implementation is a set of 3 functions:

fitnessFunction . defines the fitness function (e. g. maximum Sharpe ratio) to be used within the GA engine

tradingStatistics . summary of trading statistics for the in and out of sample periods for comparison purposes

genoud . the GA engine from the rgenoud package

The genoud function is rather complex but Im not going to explain what each parameter means as I want to keep this post short (and the documentation is really good).

In the table below I present for each instrument the optimal parameters (RSI look-back period, RSI threshold, Short Term Moving Average, and Long Term Moving Average) along with the in and out of sample trading statistics.

Start trading onlinewith an ecn broker

Start trading onlinewith an ecn brokerECN Environment with TB MT4 Trader



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TradingBanks is a brand owned and operated by ST World Trade Inc. which is subsidiary to a financial services company authorized and regulated to trade on financial markets including hedging, markets arbitrage, risk management and speculation

The registered office address is located at Vanterpool Plaza, Wickhams Cay I Road Town, Tortola, British Virgin Islands

Trading CFDs and Spot FX Contracts involves a high level of risk. CFDs trading may not be suitable for everyone, so traders need to ensure that they fully acknowledge all financial and legal aspects and accept any risk of losses that might occur in their investment. Independent advice should be sought if necessary.

According to our broker regulation, European residents are not eligible.

Best discount stock brokers online

Best discount stock brokers onlineBest Discount Stock Brokers Online

Which discount stock broker does StockBrokers recommend for you? Every investor has different trading styles and investment preferences that can be used to help rate top brokers to find a great match. Several of the current best discount online brokers include:

Published by Brandon Reinkensmeyer on Tuesday, November 3rd, 2015.

Broker Comparison Tool

Compare online brokers with the stock brokers comparison chart! Included are easy to read star ratings, pricing and fees information, and even a features overview section to see what every broker has to offer.

Choosing a Discount Online Broker

There are different areas you will want to consider when choosing an online broker. The most common include the cost of placing trades, how easy the broker is to use, flexibility and depth of the trade platforms and tools, and the overall quality of investment research. Customer service, mobile trading, banking, international trading, and support for other trade types (options, futures, forex, bonds) are others.

Once you have narrowed down the factors that are most important to you, then you can begin looking for specific stock brokers that fit your needs. If an easy to use platform and deep discount cheap trades are most important to you, then OptionsHouse will make for a great fit. Want top notch customer service with discounted trades? If so, TradeKing is your best bet. If all you want is access to powerful platforms, tools, and research then TD Ameritrade will wow you. The list goes on and on. For a full review of all the brokers and categories head on over to our 2014 online broker review.

At one time most of the brokerages that offered IRA accounts charged an annual fee of $50 or more to deal with the regulatory hassles of holding your IRA assets. Today, many brokers offer IRA accounts with no setup fees and no annual maintenance fees. However, it is important to check first as brokers can charge $35 annual IRA fees and even a fee for closing an IRA in the future.

For international investors seeking to trade the U. S. Stock Markets, most major online stock brokers like Etrade Financial and MB Trading welcome foreign accounts. The highest regarded all around broker for trading international though is Interactive Brokers .

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If you need help deciding which broker to choose or have a broker specific question please feel free to email our team .

TD Ameritrade, Inc. and StockBrokers are separate, unaffiliated companies and are not responsible for each other’s services and products. Options are not suitable for all investors as the special risks inherent to options trading may expose investors to potentially rapid and substantial losses. Options trading privileges subject to TD Ameritrade review and approval. Please read Characteristics and Risks of Standardized Options before investing in options. Offer valid for one new Individual, Joint or IRA TD Ameritrade account opened by 12/31/2015 and funded within 30 days of account opening with $3,000 or more. To receive $100 bonus, account must be funded with $25,000 or more within 30 days of initial minimum funding. To receive $300 bonus, account must be funded with $100,000 or more within 30 days of initial minimum funding. To receive $600 bonus, account must be funded with $250,000 or more within 30 days of initial minimum funding. Please allow 3-5 business days for any cash deposits to post to account. Offer is not transferable and not valid with internal transfers, accounts using the Amerivest service, TD Ameritrade Institutional accounts, and current TD Ameritrade accounts or with other offers. Qualified commission-free Internet equity, ETF or options orders will be limited to a maximum of 250 and must execute within 90 days of account funding. Contract, exercise, and assignment fees still apply. Limit one offer per client. Account value of the qualifying account must remain equal to, or greater than, the value after the net deposit was made (minus any losses due to trading or market volatility or margin debit balances) for 12 months, or TD Ameritrade may charge the account for the cost of the offer at its sole discretion. TD Ameritrade reserves the right to restrict or revoke this offer at any time. This is not an offer or solicitation in any jurisdiction where we are not authorized to do business. Please allow 3-5 business days for any cash deposits to post to account. Taxes related to TD Ameritrade offers are your responsibility. Retail values totaling $600 or more during the calendar year will be included in your consolidated Form 1099. Please consult a legal or tax advisor for the most recent changes to the U. S. tax code and for rollover eligibility rules. (Offer Code 264) TD Ameritrade Inc. member FINRA/SIPC. TD Ameritrade is a trademark jointly owned by TD Ameritrade IP Company, Inc. and The Toronto-Dominion Bank. 2015 TD Ameritrade IP Company, Inc. All rights reserved. Used with permission.

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Warren buffett top3investing mistakes to avoid

Warren buffett top3investing mistakes to avoidWarren Buffett: Top 3 investing mistakes to avoid

Imagine having Warren Buffett as your personal financial adviser. USA TODAY asked the Oracle of Omaha to put on his personal finance hat and tick off the biggest mistakes investors make

Story Highlights

Warren Buffett ticks off the 3 biggest mistakes investors make Buffett: You dont need to look at the prices of stocks week-to-week or month-to-month Stocks, Buffett says, will reward you over long periods of time

NEW YORK — Warren Buffett, the billionaire investor with the Midas touch, has a message for Main Street stock investors: "Don't beat yourself."

"The nice thing about investing in stocks is that, over time, equities are going to do well," Buffett tells USA TODAY. "American business is going to do well. America is going to do well. So you have the tide with you."

Building wealth in stocks is still the way to go, even though the ride can get bumpy from time to time, Buffett, 83, says.

But to really profit from stocks and build wealth over time, says Buffett, individual investors must avoid making costly mistakes that shrink their portfolio balances, just as a football team that wants to boost their odds of winning must avoid fumbling the ball away, throwing an interception or taking a penalty at a bad time.

"Don't beat yourself," the Oracle of Omaha says. "Beating yourself is half the problem."

USA TODAY asked Buffett to put on his personal finance hat and to tick off the three biggest mistakes amateur investors make. Here's Buffett's "Top 3 Mistakes to Avoid":

1. Trying to time the market. "People that think they can predict the short-term movement of the stock market — or listen to other people who talk about (timing the market) — they are making a big mistake," says Buffett.

2. Trying to mimic high-frequency traders. Buying stock in a good business and hanging on for the long term, he says, is a better strategy than flipping stocks like a short-order cook flips pancakes.

"If they are trading actively, they are making a big mistake," Buffett says.

3. Paying too much in fees and expenses. There's no reason to pay an expensive management fee to invest in a mutual fund when super-low-cost index funds that mimic large indexes like the Standard Poor's 500-stock index are available, he says.

"If they are incurring large expenses in connection with their investing," says Buffett, "they are making a big mistake."

Buffett, of course, is famous for buying stocks when they are cheap, buying solid businesses that make a lot of money today and will make a lot of money tomorrow, and hanging on to his investments for a long time to better maximize profit potential.

The strategy works. You don't become the richest person in America during your career with a lousy investment game plan. (Buffett, with a net worth of $58.5 billion, is currently ranked No. 2 behind Microsoft founder Bill Gates, who's worth $72 billion, according to Forbes magazine.)

"Doing reasonably well investing in stocks," Buffett says, "is very, very easy."

Here's how he says investors should play the investing game:

"Buy an index fund, preferably over time, so you end up owing good businesses at a reasonable average price," says Buffett. "And that is all you have to do."

That's it? It's that simple? Buffett says yes.

"You don't need to look at the prices of the stocks you own from week-to-week, or month-to-month, or even year-to-year," says Buffett. "If you own a cross-section of American businesses, and you don't get excited (and buy) just at the very top, and if you buy in over time, you are going to do well."

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Imagine paying $99 for a piece of software that will make you rich overnight. Buyers KNOW that the claims of 99% of forex robot vendors are fabricated nonsense and yet every day $10.000’s are spent on what are usually useless tools that will eventually lose lots of money.

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Forex swing trading strategy#9(macd crossover swing trading system)

Forex swing trading strategy#9(macd crossover swing trading system)Forex Swing Trading Strategy #9:(MACD Crossover Swing Trading System)

Posted by Mangi Madang 1171 days ago

The MACD Crossover Swing Trading System is a very simple swing trading strategy especially new forex traders can find it quite easy to use.

The MACD is one of the most popular forex indicators used by forex traders to determine trend.

That being said, the MACD indicator consists of two lines, the faster moving line and the slower moving line. When the faster moving MACD line crosses the slower moving to the upside, that means the market is in an uptrend so you look to buy. If it crosses to the downside, it means the market is in a downtrend, so you look to sell.

That is a very simple explanation of the MACD forex indicator.


To enter into a trade using the macd crossover system is very simple, here’s how:

Wait for the MACD to cross

Then Place your order-preferably a buy stop or sell stop order.

You stop loss should be placed significantly away from your trade entry point to avoid getting prematurely stopped out.

To exit a trade or take profit, you wait for the opposite trade signal before you exit. For example, if you were in a buy trade, then wait for a sell signal and when that happens, you exit your buy trade and enter a sell trade.


Because MACD is a lagging forex indicator, by the time when you are ready to enter a trade based on the MACD signal, the market at the stage would have moved a lot.

So what happens is that you may be entering a trade at a time when the market may be due for a reversal so guess what happens?

you get stopped out!

if price consolidates or moves in a sideways trend, you will get too many false signals and may get stopped out a lot too!


Yes, here they are:

in a nice trending market, the macd crossover trading system will work perfectly

that means nice big profits in pips

don’t forget, its a very simple trading system-no complications.

You may try other forex indicators to combine with the MACD trading system to stay out(avoid trading) of those periods where the market consolidates.

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Forex trading as abusiness

Forex trading as abusinessH e had an ideal, high-paying managerial job at 23 and did not need to give it up for what is generally seen as a high-risk business.

Yet, Dayanand Gupta quit his job and ventured into foreign exchange trading. The move paid off and two years later, today, Gupta is successful, with a grip on the fundamentals of the business.

Many prefer to stay away from forex trading, the largest financial market globally. Its daily turnover exceeds $3.8 trillion, three times the combined business of the equity and debt markets in United States. Like the commodities' market, the forex market trades round the clock.

How does it work?

Forex trading, simply, is exchanging one currency for another. Most are traded against the dollar. Other highly traded currencies are the euro, pound, yen, Swiss franc and Australian dollar.

The first currency quoted in a currency pair on forex is called base currency, which is generally the domestic currency. The second currency is called the quote currency and is typically the foreign currency.

For example, if you were trading in rupee-dollar, rupee would be the base currency and dollar the quote currency. The price shows how much quote currency is needed to get one unit of the base currency.

In this market, the volume of trade is expressed in the base currency. Example: In a 100,000 rupee-dollar trade, 100,000 is the face value and is a standard contract or a lot. No matter which currency you have in your account, the trading software automatically sets the exchange rate.

The profit or loss in trade is expressed in the quote currency, as the currency pair price is given in it. For instance, if you buy euro-dollar at 1.3000, and sold it at 1.3010, your profit is $0.0010 or 10 pips for each euro. A pip is the smallest measure of price move on an exchange.

Spread: Each trade has two prices - bid and ask. The bid price is the rate at which the broker buys and you get on selling. The ask price is the offer price at which the broker sells and you pay to buy. The difference between bid and ask price is the spread (broker's profit).

In a euro-dollar trade at 1.4000/1.4003, the spread is 3 pips. On trading 100,000 euro-dollar, the broker earns 100,000 x 0.0003 = $30, irrespective of your profit or loss. If the currency pair rises 10 pips (from 1.4000/1.4003 to 1.4010/1.4013), you will earn only 7 pips because you bought at 1.4003 and sold at 1.4010.

Typically, a lower spread is better for traders, as it gives higher profit.

Leverage and margin . In case of a small investor who invests, say, $1,000, if the price moves up by one per cent, you will earn $10 and your broker only $0.30. It's not a great deal for you; worse for your broker. Thirty cents will hardly justify his salary.

Ergo is the concept of leverage financing, where a trader deposits only a presumed risk (margin) and the rest is provided by the broker. Margin requirements vary from one to five per cent, depending on the broker. A margin of one per cent may translate into a trade of up to $100,000, even if you have only $1,000 in your account. The margin corresponds to a 100:1 leverage.

Applying a 100 :1 leverage, as above, your and the broker's profits are multiplied by 100: you get $1,000 (100 per cent of your investment) and the broker gets $30. The flip side -- if the price falls one per cent, your entire capital is lost.

Margin call . On opening a trading position, you can designate a part of your capital as collateral on your margin, which will be set aside and protected. On a capital of $3,000, say, your margin is $1,000. You use $2,000 to trade and if you lose, the broker will close your position and you will get back the collateral.

Let's say you bought 100,000 units of euro-dollar at $1.3217, which rose to 1.3227. You immediately sell those units and get $100 back. But, if the rate declines to 1.3207, you stand to loose $100.

Some losses are inevitable for any trader. However, the key is to limit losses by using stop-loss and controlling risk. If you set a limit order, you would have realised the potential profit without having to monitor the trade closely.

Caution . Making $100,000 from $100 is possible in this trade, provided you follow the rules of the game - be careful. "However, investors tend to equate currency with stocks. A big mistake," said Pramit Brahmbhatt, CEO, Alpari India. The risk factors are more complex here. Any change in macroeconomics is a big hazard, adds Brahmbhatt.

Rekha Mishra, senior research analyst, Bonanza Portfolio, concurs: "Unlike other markets, forex is highly volatile and most liquid. One should follow certain ground rules here in order to manage risk."

You can start with analysis, fundamental and technical. Skill to anticipate can be honed only by experience over a period of time.

"A demo account may expose you to the heat of a fast-paced, decision-making process," said a forex trader. "One can also start trading with mini or micro accounts to reduce risk appetite." But, do not draw conclusions based on earlier trades.

Despite being a 24-hour market, all hours may not be equally beneficial for trading on forex. You may plan your trading to catch the highest trading hour(s) to maximise profits. Freshers can take small exposures till they gain confidence.

Prafull Shirsat in Mumbai

Forex Trading Is A Business Not A Game

Today’s lesson is the ultimate guide for setting up your Forex trading business. I am going to give you some solid insight and information on why you need to treat your Forex trading like a business and how to get started. If you’ve been trading like a drunken gambler in the casino, consider today’s article your official wake up call for getting your crap together once and for all…

Setting up your trading room

The first step to getting started treating your Forex trading like a business is creating the optimal work environment. Yes, you can work from anywhere when trading, but this doesn’t mean you should trade from your lazy-boy chair while eating potato chips and watching your favorite TV show. Just as with any other business, you need to separate your trading business from your personal life as much as possible. You need a clear mind when trading, and this starts with a clean trading environment and a work atmosphere that allows you to cultivate the proper trading mindset. I wrote a whole article dedicated to setting up your trading room, check it out after reading today’s lesson: Setting Up A Forex Trading Room To Improve Trading Results

What do you need to get started? You can trade from only a laptop, but if you choose to do this I suggest getting a dedicated laptop that you use only for trading. Laptops are relatively cheap now and there’s no harm in investing in a good machine so that you can keep all your trading activities separate from your kids’ computer games or whatever else you have clogging up your computer now. Remember, developing the proper trading mindset begins with creating a clean and clear trading environment. This does not mean that you need to charge up your credit card and buy three new flat-screen monitors and two high-powered desktop computers. You can obviously go all-out if you want, but you can also trade effectively from just a quiet room with a simple desk and a good laptop or iPad.

One other note about getting started with the proper hardware and software; there’s no need for expensive trading software or news-feed subscriptions. All you need is the free MT4 charting package provided by most reputable brokers and a good working computer. You don’t need to confuse yourself by watching CNBC or reading tons of Forex news every day; this will only cloud up your thinking and cause you to second-guess yourself.

Choosing your trading strategy and developing your Forex trading business plan

After you get your trading room all setup and sorted out, you need to figure out what strategy you are going use to trade the markets. You then need to learn everything about your chosen trading strategy so that you truly become a master of it. You should have no doubt what you are looking for every time you step into your trading room or open up your charting platform.

After you master your trading strategy it’s time to develop your Forex trading business plan. Every business starts with a business plan, so to think you are going to figure out how to trade successfully with no plan in place is just silly, yet most traders ignore Forex trading plans or think they don’t need them…and most traders lose money.

I am not going to go into too much more detail about this topic, but you can check out my article on forex trading plans for more. For now, you need to understand that treating your trading as a business revolves around mastering a trading strategy and developing a comprehensive yet concise trading plan around the strategy you’ve mastered, and then following your plan with unyielding discipline.

Set aside time to analyze and trade the market

After creating the optimal trading environment, mastering an effective trading strategy, and creating your Forex trading business plan, you need to dedicate time each day JUST for market analysis. You should not place any trades at this time, instead you need to dedicate a certain block of time each day to analyze the charts with a clear and calm mind. Spend at least 15 minutes to one hour a day on nothing but analyzing the markets with a calm and clear mind.

I really want to stress that it’s important to take time for market analysis and separate yourself from your life’s daily distractions. This might mean you have to lock yourself in your trading room with your favorite music on to mute whatever is going on around you. You’ll have plenty of time to spend with your family and for your other hobbies after you launch your Forex trading business, but for now you’ll need to set aside a certain amount of time each day to get your trading business up and running.

Now, AFTER your dedicated daily market analysis time, you can place your trades if there are any setups that meet the pre-defined conditions in your Forex business trading plan. Keep in mind, placing a trade is a BUSINESS transaction, not a random gamble at the casino. So, just like any business transaction you should be sure any trade you take is worth the money you have at risk, and realize that if you enter too many stupid trades (trades that don’t meet the conditions in your trading plan), you will eventually go out of business, meaning you’ll blow out your trading account. So, if after your market analysis you find no obvious trade setups that meet your trading plan conditions, you simply don’t trade that day; don’t force a trade if there isn’t one there.

Emotion management is an on-going part of your Forex trading business

Just as you do not want to be emotional when participating in a business meeting or discussing a business deal, you do not want to be emotional when analyzing or trading the market. Essentially, emotion is the number 1 enemy of forex trading success. and the more impulsive and emotional you are the worse you are going to do in the markets.

Remember, you are running a trading business here, so you’ve taken risk to make a reward, just like any other business. There is no reason to mess around with your trades all day or over-analyze the market. Part of trading successfully involves giving the market room to breathe, you are going to be the LEAST emotional BEFORE you enter the market, and so it only makes sense to do all your “thinking” and analysis BEFORE you risk your money, not WHILE your money is on the line. Once you decide to enter into a business deal you usually cannot back out of it unless you want to pay a hefty fine or break the law, in Forex trading its usually better to just let the pre-defined decisions you’ve made play out instead of breaking your trading rules by interfering with your trades.

Manage your trading money like a business

I personally don’t know many people who compound their trading accounts by never taking any profits out. You don’t want to just leave your money in your account; you need to take your profits out periodically so that you “earn” the money. You’ll have to pay taxes on your profits when you withdrawal them, just like any other business, this is something you’ll have to explore more on your own time and according to the laws in the country you live in. In Australia…

Of course, you can’t take any money out of your Forex trading business if you are not making any money. If you want to make money you will have to do everything we’ve already discussed in this article as well as practice effective forex money management on EVERY single trade you take. Most traders mess up big time here because they say to themselves, “I’ll just risk a little more on this trade…”, and then it kicks off a wave emotional trading that is very difficult to stop. Just like any other habit in life, it’s best to develop positive habits early on and then stick with them, rather than trying to “fix” years of negative habits. Get in the habit right now of managing your risk effectively on every trade if you want to seriously run a profitable Forex trading business.

I’m here to help you with your Forex trading business

I have dedicated myself to ensuring that traders learn effective price action trading strategies and develop the proper mindset to have the best chance at surviving in the market and become successful. My Forex trading community and trading course teach simple yet effective trading techniques for traders to build their trading plans around. I want to see every member succeed, so I have built my website and members’ area to help traders get their trading business started on the right track.

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Vwap can be used to find nifty future net long or net short positions

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You Should Read This:

Nifty future has added short positions today, Still Confusing me Nifty future has ended todays session much lower, closed down by more than 2%, even Sensex lost about 300 points. This fall was led by IT stocks mainly TCS and INFY, from automobiles space Tata.

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Long Nifty 4900 Put Options, Nifty Futures Added Fresh Short Positions in OI Here is another nifty options trading idea, buy nifty 4900 put options near 89 level for targets as 139 and then 149 level. Exit strategy will be, if nifty future close above 4900 level then.

Nifty Stocks Having Highest Open Interest OI Addition Today Open interest is the best tool to tell which direction traders are speculating in market, it may be stock future or index future, applicable in both. First of all we will discuss four golden rules.

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Past performance, whether actual or indicated by historical tests of strategies, is no guarantee of future performance or success. There is a possibility that you may sustain a loss equal to or greater than your entire investment regardless of which asset class you trade (equities, options futures or forex); therefore, you should not invest or risk money that you cannot afford to lose. Options trading is not suitable for all investors. Your account application to trade options will be considered and approved or disapproved based on all relevant factors, including your trading experience. Please click here to view the document titled Characteristics and Risks of Standardized Options. Before trading any asset class, customers must read the relevant risk disclosure statements on our Other Information page. System access and trade placement and execution may be delayed or fail due to market volatility and volume, quote delays, system and software errors, Internet traffic, outages and other factors.

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Here I am at home with some of my favorite trading and investment books

Hi. My name is Jackie Ann Patterson and Im a stock trader, computer geek, author of three books, editor of BackTesting Blog and BackTesting Report, and a registered investment advisor representative.

This is my story of how backtesting helped me overcome loss and profit in the stock market

My interest in computers goes back to the 5 th grade. That fascination propelled me through engineering school, where I programmed in literally a dozen languages before graduation. From school into professional software development, then management then marketing, winding up organizing technical seminars for a big software company in Silicon Valley.

Thinking that life is too precious to confine to an office . even a nice private directors office overlooking the park, I left to find my own way. After a year knocking around, I founded Own Mountain Trading Company to help others thrive in the markets .

Id developed quite a passion for investing and stock trading . starting with my first stock purchase in 1995. Over the years, and especially in the months leading up to my bid for freedom, Id done quite well in markets. Of course, the moment I left my corporate job and became a full-time trader my growing equity curve promptly went south. What a harrowing experience!

I devoted almost all my time to learning my trade, reading all I could about the markets, taking various classes, experimenting with different styles, and picking up the necessary tools, such as backtesting . Fortunately, I have risk control to keep me alive long enough to learn what I needed to improve.

In hindsight, I see that I had two hard lessons to learn. One is that drawing living expenses from a trading account creates undue pressure to take unnecessary risks. I cant be successful by saying Cmon, baby needs a new pair of skis! But with multiple streams of income, I find it much easier to exercise the patience needed to deal with the markets. That is one reason for productizing my research reports. Another is that I find I do a much better job when I know other people will be reading over my shoulder. I like holding myself to a world class standard. More importantly, Im risking my own money based on the data in these reports so they better be good!

That brings me to my second lesson which was the need for objective decision-making. I dont want to be entirely in fortunes hand. And I dont want to tear myself apart second-guessing every loss. I want to know, based on scientific evidence, that I have a good chance of succeeding and that losses are just temporary set-backs. Who else wants to go into the market knowing you have the odds in your favor?

Key skills to move toward that goal are identifying and sticking with objective trading plans. Enter backtesting to find out how well all the technical indicators really work and to help build a plan for success. Even a fully discretionary trader can benefit by knowing the historical track record of the elements of their own and others trading strategies. I certainly gain by knowing how my favorite indicators have performed in the past. In fact, it has been very eye-opening because through a back test Ive uncovered several instances where highly-touted indicators have done worse than chance . Ive also learned that guiding the decision-making process with a carefully back tested strategy thats proven itself adds consistency and objectivity.

My trading competition awards with other traders names removed for their privacy

After backtesting, I meld the best performing tactics together into a daily plan I can follow in a business-like manner. My plan worked reasonably well in that my first back tested trading system won these two silver medals in the Spike Trading competition. Im proud of these awards because the other Spike Traders are very skilled and it wasnt easy to medal. One of my stock picks was also featured in the book Sell and Sell Short by best-selling author Dr. Alexander Elder.

Backtesting Blog chronicles my trading strategy development process. I created the BackTesting Blog to discuss issues that arise during backtesting and discovery of trading strategies. Its drawn readers from all over the world. To join them and read behind-the-scenes technical articles about backtesting and objective stock market strategies, click this button to automatically direct the BackTesting Blog RSS feed to your Inbox for free

When I wrote the original BackTesting Reports, I wanted to be especially thorough in four aspects:

spanning 14 years and 7147 stocks of impeccable price data

uncovering the truth about objective technical indicators and strategies

evaluating entries separate from exits to see what really works

testing multiple time horizons from active investing to swing trading

Of course the whole purpose is to be better prepared for the stock market! The actual BackTesting Reports were sold separately, and a few are still available. See the sales page for more info.

More recent backtesting results and methodologies have been published by my company on Amazon. Truth About MACD: What Worked, What Didnt Work, And How to Avoid Mistakes Even Experts Make (Beat The Crash) (Volume 2) is an update of the original Truth About MACD series of BackTesting Reports.

Along the way, Fidelity Investments contracted with me to research and write articles for clients. Among them was a sector rotation piece. That idea seemed a good match for my mind set and time commitments so I continued research well after the contract was over. The results were published in Truth About ETF Rotation Fund Your Retirement by Investing in Top Exchange Traded Funds in One Hour Per Week (Beat The Crash Book 1) .

To offer clients a professionally managed portfolio, including an advanced rotation strategy, I took the series 65 Investment Advisor Representative licensing exam and became a solicitor for Delta Investment Management. Delta IM was founded by finance professionals with high integrity and decades of experience. They have access to robust, well-tested, risk-mitigated strategies which they manage directly in client accounts at TD Ameritrade and Schwab.

Reach me directly by filling in the blanks and clicking the Submit button.

Adaptrade Software Newsletter Article

Stress Testing for Trading Strategy Robustness

by Michael R. Bryant

In the article on multi-market trading strategies. I discussed the concept of robustness, which I described as insensitivity to variations in the data on which the strategy is based. Building a trading system over multiple markets is one way to increase robustness. However, what if you already have a strategy and you want to see how robust it is?

Testing a trading strategy for robustness is often referred to as sensitivity analysis, or more colloquially as stress testing . The basic idea is to see what happens when small changes are made to the strategy inputs, price data, or other elements of the strategy or the trading environment. A robust strategy exhibits a proportional and relatively muted reaction to such changes, whereas a strategy that is not robust will react disproportionally and sometimes fail outright when small changes are made to its inputs or environment.

Why is This Important?

Put simply, robustness is important because the markets never stay the same. Take the strategy inputs, for example. Inputs such as the look-back length for a moving average might be optimal over the back-test period, but going forward, different values might be optimal. We want to know how well the strategy will perform when the inputs are no longer optimal. One way to address that is to see how the results change when the input values are changed.

As explained in the earlier article, the idea of robustness is related to strategy over-fitting. We want to make sure that the strategy has not been fit so tightly to the market during the development process that it can't withstand any changes to the market. Generally speaking, we can test for that by changing the market, changing the strategy, or both. A strategy that does not stand up well to relatively small changes is not robust and is likely to be over-fit. Such a strategy should not be expected to do well in the future.

Types of Stress Testing

There are many different ways that a strategy can be stress tested. We can make changes to the strategy itself or to the price data on which we back-test it. We can change the trading costs, such as the amount of slippage, or change the position sizing. In principle, anything that affects the strategy back-testing results can be varied. In this article, the following three types of stress testing will be discussed:

Changing the strategy inputs.

Making small changes to individual prices.

Changing the starting bar.

The rationale for changing the strategy inputs was discussed above. To change them, a percentage will be chosen randomly between - Max and +Max, where Max might be on the order of 1% or 5%. This percentage will be applied to the range of values for each input. For example, if we choose the look-back length for an indicator from the range of values from 1 to 100, then the range would be 100, and the randomly chosen change percentage would be applied to 100. The change amount, either positive or negative, would then be added to the original input value to make it higher or lower by that amount. We'll also specify a minimum possible change amount, such as 1 for the amount to change an indicator look-back length. That way, if the random change percentage is a small number, the input will still be changed.

One way that a strategy can be over-fit, and therefore not robust, is if it's fit too closely to specific prices in the back-test. For example, if the strategy enters long on a stop and several large, profitable trades enter at the high price of the day, that should raise a red flag. What would the results look like if the high had been one tick lower on those days? If such a small change would ruin the results, the strategy is clearly not robust. A stress-testing technique to detect that kind of over-fitting is to make random changes to individual prices and evaluate the results.

To randomly change the price data, we'll use two settings. One is the probability of changing a price. For example, if the probability is 50%, that means there's a 50% chance that any price -- open, high, low, close of each bar -- will be changed. The second setting is the maximum percentage change that will be applied to a price that is being changed. As with the input values, the actual amount of the change is randomly chosen between - Max and +Max, where Max is the maximum percentage price change. The value of Max is taken as a percentage of the average true range over the past 100 bars. For example, if the average true range is 10 points and the maximum percentage change is 20%, then the change amount is a randomly chosen number between -2 and +2 points. Let's say the actual number is -1.25 points, and the closing price is 1250.50. The modified close would then be 1249.25. Finally, it's possible that changing a price will invalidate the normal price ordering, such as reducing the open so that it's below the low. To prevent that, the prices may need to be adjusted after making the change to keep the open and close within the high/low range.

The last stress testing method that will be discussed involves changing the starting bar. It's probably obvious that a good strategy should not fall apart when you start the back-test on a different bar. It might be less obvious how this can happen. Consider a hypothetical strategy that enters long on a moving average crossover. It then holds the trade exactly five bars before exiting at market. Putting aside the suitability of the logic, imagine what the trade history might look like on a price chart. If the moving average entry condition uses a short-term average crossing above a long-term average, it's entirely possible that in a sustained up-trend, the entry condition could be true for a long period of time; i. e. the short-term average might be higher than the long-term average for many bars in a row.

If the back-test were started during that period, the first trade would enter on the next bar after the starting bar, and each trade would last five bars, followed immediately by the next entry, and so on. Now consider what would happen if the starting bar were changed. If the starting bar was one bar later, for example, the whole series of trades would be shifted one bar to the right. It's entirely possible that some of those series of five-bar trades would be much more profitable than others, depending on how the trades aligned with any underlying five-bar trend cycle that existed. So, depending on the starting bar, the strategy might be highly profitable or unprofitable because of where the trades started and ended. It might not be obvious during development that the strategy logic had this type of dependency on the starting bar, particularly for more complex types of logic.

To test for the effect of the starting bar, the bar on which the strategy back-test is started will be varied by a random number chosen between 1 and N. In the example below, N was chosen to be 300. So the starting bar was varied by adding a randomly chosen number between 1 and 300 to the original starting bar number.

A Monte Carlo Approach

Varying the inputs, prices, or the starting bar by a random amount only provides one alternative to compare against the original results. To get a more complete picture of how robust a strategy is, we can repeat the process many times until we have a distribution of results. Generally speaking, varying the input variables randomly over a large number of iterations in order to generate a statistical distribution of results for the function that depends on those inputs is called Monte Carlo analysis.

In this case, the function is the trading strategy and the function inputs are the strategy inputs, market prices, and/or the starting bar. By repeating the stress test many times, we end up with multiple sets of trading results. To understand how the Monte Carlo process works, consider the example shown in Fig. 1.

Figure 1. Original equity curve for a forex trading strategy .

The equity curve depicted in Fig. 1 is for a trading strategy developed for the EURUSD forex market on daily bars, with one standard lot (100,000) per trade and $50 per lot for trading costs. This is one of the bonus strategies included with Adaptrade Builder. It was developed in March 2010. The last 100 trades or so have been since release, which shows that it has held up well in real-time out-of-sample tracking.

To illustrate how stress testing results can be analyzed using a Monte Carlo approach, consider the results of stress testing the forex strategy on the price data, as shown in Fig. 2, which depicts a total of 20 equity curves, 19 of which correspond to a different set of randomly-modified price data.* The original price series for the EURUSD was modified 19 times as described above, using a probability of price change of 50% with a maximum percentage change of 20%. Along with the original curve, shown as the thicker green line, there are a total of 20 sets of results. The total number was kept as small as possible for illustrative purposes; more iterations will be used below in the remaining examples.

Figure 2. Stress testing the forex strategy by varying the price data 19 times .

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Trading Forex and Derivatives carries a high level of risk, including the risk of losing substantially more than your initial expenditure. Also, you do not own or have any rights to the underlying assets. The effect of leverage is that both gains and losses are magnified. You should only trade Forex if you can afford to carry these risks.

Trading Physical Bullion also carries a high level of risk. GO Markets Pty Ltd does not guarantee the performance, return of capital from, or any particular rate of return of bullion. You should only trade in risk capital (that is, capital you can afford to lose). Please note that the historical financial performance of any bullion or underlying instrument/market is no guarantee or indicator of future performance.

Trading Derivatives and/or Physical Bullion may not be suitable for all investors, so please ensure that you fully understand the risks involved, and seek independent advice if necessary. A Financial Services Guide ( FSG ), Product Disclosure Statement ( PDS ) and Product Information Document (Physical Bullion only) for our products are available from GO Markets Pty Ltd to download at this website or here. and hard copies can be obtained by contacting the offices at the number above.

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Senior management,ramius trading strategies llc

Senior management,ramius trading strategies llcSenior management, Ramius Trading Strategies LLC

William Marr

William Marr is the President and Chief Executive Officer of Ramius Trading Strategies LLC (RTS). Mr. Marr has managed proprietary capital for financial institutions since 1985 and has invested with external trading managers since 1997.

Prior to co-founding RTS, Mr. Marr was a Managing Director and Head of Hedge Fund Research and Portfolio Construction at Merrill Lynch. Mr. Marr joined Merrill Lynch in 2006 as Head of Directional Trading hedge fund strategies responsible for the FuturesAccess platform. In 2007, Mr. Marr spearheaded the launch of Systematic Momentum FuturesAccess which became Merrill Lynchs flagship multi-manager managed futures fund. Prior to joining Merrill Lynch, Mr. Marr was a Managing Director and Global Head of Alternative Investments for Julius Baer Investment Management, LLC, which he joined in July 2002 after serving as Senior Vice President and Head of FX Trading and Sales at Bank Julius Baer. Prior to joining Bank Julius Baer in 1998,

Mr. Marr was Vice President of FX Hedge Fund Development at AIG International.

From 1985 to 1997, Mr. Marr actively traded and managed FX cash, futures, forwards and derivatives for international trading firms including Bankers Trust and UBS. He received a Bachelor of Arts from Bowdoin College.

Alexander Rudin

Alexander Rudin is a Principal, Director of Investment Research of RTS.

Prior to co-founding RTS, Mr. Rudin was a Director and Senior Analyst at Merrill Lynch responsible for investment research on managed futures funds. He was also a key participant in making investment decisions for Systematic Momentum FuturesAccess and other Merrill Lynch-sponsored multi-manager hedge fund and managed futures products, alongside Mr. Marr.

Prior to joining Merrill Lynch in May 2006, Mr. Rudin was First Vice President and Director of Quantitative Hedge Fund Research for Julius Baer Investment Management, LLC, which he joined in 2003. From 1998 to 2003 Mr. Rudin held several positions in quantitative finance in the fields of risk management, derivatives modeling, and systematic trading, with the preceding 6 years spent in academia focusing on theoretical physics research. He is an author or co-author of more than 40 articles in academic journals in the areas of theoretical physics and finance.

Mr. Rudin holds a Ph. D. degree from Theoretical Physics Institute at the University of Minnesota, Minneapolis, another Ph. D. degree in Theoretical Physics from Ioffe Institute for Physics and Technology in St. Petersburg, Russia, and M. S. degree in Electrical Engineering from St. Petersburg State University, Russia.

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On May 29, 2015 / Uncategorized / Comments Off

Top trading card games

Top trading card gamesTop Trading Card Games

The Top Ten X W

1 Magic The Gathering

Come on! Easily better because of the artistry on the cards, as well as the core gameplay being so much more expansive and the deck customization has so much creativity available for the players.

No competition here. Magic the Gathering has a community and competitive environment that destroys all other trading card games. You can walk into any game store across the world and find people playing MTG any day of the week.

Great for ALL ages! And the best game ever made!

Best of the world =D!

I've played yu-gi-oh and magic for a very long time, and I prefer Yu-gi-oh because it can be very simple and yet very complex at times making your brain work for your victory. The best quality it has is that it has a huge variety of cards that can appeal to almost anyone

Really, yugioh should dominate. I have magic and yugioh. I've been playing both for years and yugioh is a lot more fun. Magic is too complicated and it can be hard to create a new deck. Yugioh is not that complicated and is a lot easier to create a deck with. You don't need mana and all that stuff. Also, yugioh has stragetgy but magic is just working with what you have. Yugioh can play cards face down to keep your opponent guessing but magic just has monster to attack. Magic also has flying O. Creatures which is way overpowered. Yugioh has cards which can always be beatable. Yugioh also takes longer to play which is good cause you can enjoy the experience longer. For another reason magic has like 9 different types of ways to play with different rules. Yugioh has one good way to play which is not confusing.

Yugioh is beast. Its the number one card game in the whole ' world and deserves it. I have been playing for a good while, but my problem is that I have only one other person to play with most of the time but I have two friends who come down once or twice a year for a while so I play them when I can. Also I have no stores anywhere close to me that hold tournaments, but neither of those will stop me playing for a long time to come. I don't think this is a very well known combo 'cause I never play anyone that I don't know but I haven't heard anything about it so here it is. It's a combo for Last Turn. Summon wind-up zenmaines and play him in defense. Make sure it has at least one XYZ material when you activate Last Turn. When your oppenent attatcks use his effect and destroy his monster during the end phase. Hope it helps - llamabaconllama37

Yu-Gi-Oh is really easy to start playing but some rules make it hard, You may not know about When this card is summoned or If this card is summoned so You may confused when people will tell You that You can't do that.

Honestly, the best card game out there. In comparison to Yugioh, Pokemon appeals to anyone regardless on how old they R. In tournaments, they have Juniors, Seniors and Masters so if you are 14 years old, you wouldn't have to worry about going against a 22 year old. This is also good because it puts people with the same caliber together so it isn't too unfair. Also, anyone can qualify to the world championships, unlike Yugioh which you must qualify from nationals. Pokemon is a really strategic and fun game and the community is much more friendly than Yugioh. I play Pokemon and Yugioh and while I still enjoy Yugioh a lot, I prefer playing Pokemon much more, especially as I have qualified for the World Championships 2013 in Vancouver, Canada.

IT IS AWESOME! It has great structure in the style of gameplay, and there is a lot variety in strategies, players, cards, and much more. So yeah I desperately recommend this game.

Easy game to pick up, yet has room for tons of strategy. Also, the online game is just fantastic, so if you're looking for an online card game, whilst waiting for Hex/Hearthstone, I definitely recommend it to put your feet in it before going out and buying cards. Like many said, it's appealing because it's Pokemon, everyone knows it and tons of people love it. Wish I'd gotten into the actual card game earlier when I was a kid, but with the online game and growing popularity in my town, I'm just happy to be a part of it.

My Mega Rayquaza can do 300 damage per hit!

Well, just as it is written above, the cardfight vanguard game is one of the best. Yes it didn't start well but after it came in tcg things are steadily changing. Yugioh was the boss as always( still has the Guinness record. But think of this: with the newest formats always depending on 2 maybe 3 decks that will be banned in one or two lists, all decks made a form of income and so on, the game has lost its value. Players out there search for something fun easy, with no rules (chains, priorities, sp summon chainability etc) cheap( most vanguard cards are cheap with the most expensive being at 30 $), and also new, fresh you could say. All that is the summary of vanguard. The rules are easy, the game is fun, the whole thing has some rules taken from yugioh, others from magic others from many games, but it only took the best aspects of those games leaving out all the imperfections. Number 10 might seem fine right now but with the coming of this game in all the world l think we will. more

Cardfight! Vanguard is unique. There is no limit to possibility. Such a clever way of dueling. Utilising the amount of damage you have taken (Limit Break), being able to pay that damage (Counterblast), doing the unimaginable like Megablast, different deck types and playing styles, new sets and archetypes released constantly, being saved at the last minute because of how smartly the game is set up like drawing a Heal Trigger on a damage check or completely destroying your opponent with Critical Triggers, Barraging and torturing your opponent with Stand Triggers, never running out of options with Draw Triggers, the well thought out and well implemented Crossride and the effects bought with them, losing yourself and going all out guns blazing with Persona Blast, its made like a watch. In Yugioh, you can mix anything to make a deck. But in Cardfight! Vanguard each piece of a deck is made to work together, its all been fitted precisely to allow the ultimate gaming fun. Unbeatable.

Awesome game. Cool Mechanics, and they listen to what the players want as well. They also test cards before you use it to see if there are imperfections or flaws on the card. Although I miss some aspects of most card games such as spell cards, etc.

The game is easy to pick up and learn and with new powerful card to beat a opponent such as stride and break aloud to make the game fun. Peace..

sort of confusing at first but when you get into it you understant it a lot more

The newest yu-gi-oh, you know the one that makes no sense to the old school players

Best card game simple rules, few requirements, great idea, and cool cards, gave me a way to gain more friends.

Thanks yugioh!

This is the exact same thing as the normal yu-gi-oh, the rules keep changing constantly

6 World Of Warcraft TCG

Very fun game. Its competitive ^^ doesn't cost much. You can get older cards for a fraction of what new ones cost. Great for current or former Warcraft players as well.

It offers a gameplay that is very similar to Magic, but with its own changes.

It's easier to learn, gives you boss fights and the types of cards are fun.

The combat system is also entertaining.

Legendary Game. Instead of dying it gave it's position to Hearthstone. And Hearthstone currently holds the number 1 position of digital card games and one of the top five positions of online games. Hearthstone has a great future but also a legendary ancestor.

Was a very fun game. I don't know why I voted for it at this point though, now that they've discontinued it so they can take our money online instead.

As a matter of verity, I wasn't expecting this truely beatiful game to take the 9th position simply for some reasons First of all, I played Yu Gi, Vanguard, and I know a lot about MTG and Pokemon, but believe me, Duel Masters requires more strategy and intelligence to master it, really though. You'd need like 1/2 years experience to consider yourself finally a "Good DM player". With a large card pool as well as efficient card combination, Duel Master pretty much encourage the player to be creative (for E. X: in Vanguard all decks are the same decks are lost of your own touch) and enthusiastic and careful during deck building, since card choice represents the key to build a strong deck. As for gameplay, learning it wouldn't take a lot of time as it's pretty simple. And again, another advantage most trading card games depend on luck whereas in DM, if you depend on it, you pretty consider yourself lost, as in if winning the game depends on one card then your opponent will work to eliminate that card.

I want to get one thing out of the way. The art is frankly amazing. It was one of the factors that got me interested in this game so much. The rules are very easy to learn, and you can use a whole lot of creativity with the decks compared to other TCG's and the every duel is exciting. In Japan this game is still very, very popular and the game has advanced to a whole new level with many new card types, abilities and of course the beautiful art. I also love the fact that the game depends on skill and strategy rather than luck and some card you drew by chance. I really, really hope this game comes back to the rest of the world with the new concepts and abilities. It would be awesome!

Personally I love this game, it was cancelled in the u. s because they decided to parody-dub the anime*(making it idiotic). However I still play Yu-Gi-Oh due to the availabiltiy I believe Duel Masters to be more interesting.

This game is amazing

I am extremely upset with the fact that it has stopped being aired on T. V. because it is honestly on of the best shows that was on the air. It is also on of the best card games out there. Truly disappointing it stopped airing

It is an innovation for trading card games because it can be played not only in reality but also online. It was released publicly as a trading card game online and a television show but with unfortunately squashed to death by more popular trading card games such as Magic the gathering, Yu-Gi-Oh, and PokГmon. It had a very short lifespan, although there have been rumors that it will start up again in the year 2013 or 2014. I believe that on YouTube there was a video called Chaotic roomers and it was about 4kids saying that they would release it again in Japan.

It was always a balanced game. Nothing was definitely overpowered. You could have some of the best meta decks face each other and you would never know which one would win or lose. Anything that was too powerful would be balanced by the next set and even the oldest cards were playable competitively.

Easily seen better, just look at it's depth and creativity

Digimon is more card like instead of building ships which can be confusing

Digimon is much less complicated than ships.

Good game, great card artwork, talking about the HC Serie. Others series like Alpha and fusion are way below. They have more childish artwork, Fusion ressemble more to Transformers to digimon

Great Games, particularly deciphers version. This was one of the great card games of all time and if decipher had been able to continue with the license from lucas arts it would be one of the best out there today.

The Decipher version should absolutely be top 10, and is #1 in my book. I tried numerous other games after Decipher lost the license to Wizards of the Coast (whose version was far inferior), and nothing compared in terms of mechanics and the free-world feel, although from what I've read, Legend of the Five Rings might be a contender.

Too bad the license didn't continue. Complex, but amazing!

Decipher was the best game ever. Period.

The Newcomers

B Add New Item

The Contenders

This game is so simple, and all the bakugan have unique features, making it a very fun game to play. I mean Magic and Yu Gi Oh are fun indeed, but this game is just both reduced to simplicity.

Also, there are constantly many bakugan with high power G's that you can find them almost anywhere.

Nobody understands the strategy within this game, I'm 35 with no mental issues whatsoever and I still play this with my dad!

12 Lord Of The Rings TCG

Besides being a lot of fun it requires a lot of thinking. Try playing for a hour without making any mistakes.

Really good gameplay mechanics and really fun to play with friends

Fantastic card game! Wonderful arts!

Ignore the license and this game has one of the best card game engines created. Its from a time when every game wasn't trying to just be Magic 2.0. If you've only recently come into playing card games, or have never ventured far from Magic land, give this game a chance to see how fun Card Games can be.

This game recently got a reboot and I have to say its amazing. Panini bought the rights and they streamlined the game a ton making it way better. The original dbz ccg was great but once we got to like buu saga on it got ridiculous. Especially gt. Free style decks and sensei decks and all this crap that this wonderful card game did not need. granted it was great with all that stuff, the game is now easy to pick up so much fun and streamline

I must admit, these cards are AWESOME! They are really fun and I love trading them.

14 Future Card Buddyfight

This new card game by bushiroad (the creators of weiss schwarz and cardfight vanguard) is a new breath of fresh air for the tcg scene all new mechanics that are super solid and just looks fun! This card game comes out at the end of January and the anime comes out January 3! So close I can almost feel it taking my money from my wallet! But for real try this new card game out and the most cool thing is the Japanese and us are getting everything the card game introduces at the same time so no waiting like other card games. I could talk about this card game all day so just see for yourself and I bet you wont regret it!

One of the few promising games to be on the horizon. I tested it, its a lot of fun and quick to pick up. It will be interesting to see where it goes.

With so many world to choose from, this game becomes more and more fun. The 10 starting life now last longer than before.

I love it and I love vanguard

Great mechanics and a great set of art. Promos were full art and the impressive detail put into the cards deserve a spot onto this list.

Although it's the hardest game out there, This game is great!

FANTASTIC GAME! Terrible shame that it stopped being sold at stores, although you can still get new sets via the on-line community.

Trading strategies based on volume60seconds binary options trading

Trading strategies based on volume60seconds binary options tradingTrading strategies based on volume 60 Seconds Binary Options Trading dentistelasertek

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E-trade review

E-trade reviewE-Trade Review

E-Trade is a well-established name, and it offers choices and features for both simple and advanced trading. With this day trading software. you can trade stocks, options, ETFs and mutual funds as well as higher-risk investments, including futures and forex. Its online platform is simple and easy to use while still offering powerful tools for trading and reaching stocks. The main downside to this service is its commissions and fees, which are among the highest we saw.

The fee for all stocks, options and ETFs is $9.99. If you order between 150 and 1,499 trades per quarter, that fee drops to $7.99, and more than 1,500 trades in a single quarter drop that fee to $6.99. Even at this lower rate, the trade fee is more than the best day trading services we reviewed. For option trades, there is an additional $0.75 fee per contract, which is average. Option assignments and exercises are $19.99, which is more than what many services charge.

For margin accounts, you must maintain at least $2,000 in the account. If you are interested in high-frequency trading, you must maintain at least $25,000 as regulated by the Financial Industry Regulatory Authority. Margin rates are always subject to change, but E-Trade has had the same rates for some years. For balances with less than $25,000, the rate is 8.44%. For account balances with more than one million dollars, the rate is 3.89%.

E-Trade Pro is an advanced trading platform, ideal for active and day traders. It offers extended trading hours starting at 7 a. m. Its advanced trading tools include technical screeners, options strategies, analytic charts and technical studies. You can create watch lists and option chains, set alerts, and watch live streaming CNBC TV news.

For mobile trading, you can download apps for your iPhone, iPad and Android mobile devices. With these apps, you can order trades, monitor positions and research stocks, among other functions typical of mobile apps. In addition to standard features you'd expect in a mobile app, E-Trade mobile apps offer barcode scanning, which allows you to scan a barcode on a product and receive publicly traded information on the stock, and check depositing, which allows you to snap a picture of your check and deposit it digitally.

The website provides education on investing, trading and retirement. There are online courses and live and archived webinars. There are also dozens of educational articles and videos from which you can learn more about investing and the market. Customer support is available 24/7 by both telephone and live chat, or you can go to a local office to speak with someone face to face.

The forex trading robot

The forex trading robotThe forex trading robot

Plus 500 Erfahrungen

Plus 500 Erfahrungen

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Plus500 has been round for over a decade, and gives an impartial forex trading platform, merchants for each experienced and inexperienced. What is placing about the plus500 buying and selling platform is that it presents just one possibility for the trade. This may deter some traders looking for a particular platform, resembling Metatrader, but additionally has the benefit of a singular, uncluttered platform gives a number of options to the mainstream. The platform is obtainable as a cellular model of downloaded software program or on-line access, and provides dealers a number of options for mobile commerce.

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Z-medica hemorrhage control trainer

Z-medica hemorrhage control trainerZ-Medica Hemorrhage Control Trainer

Product Description

The Z-Medica Hemorrhage Control Trainer (HCT) provides a platform for learning hemorrhage control/wound packing techniques used in the effective application of Combat Gauze products. Helps trainees develop required muscle memory as well as an understanding of the mechanical aspects of wound packing.

The HCT includes a "training leg" that features an entry/exit bullet wound and a laceration, and provides realistic tactile sensation. The HCT comes packed in a sturdy case (shown in the photo above) along with 10 Combat Gauze Trainers and 5 Combat Gauze LE (or MIL).

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Budding stock market guru is14years old

Budding stock market guru is14years oldBudding Stock Market Guru is 14 Years Old

Originally published on CityNews. ca, January 27, 2011.

He's not old enough to get a driver's licence, buy cigarettes or vote, but Julian Marchese has emerged a budding stock-market guru after eight years of feeding his passion for the numbers.

The 14-year-old from Mississauga trades stocks online, gives advice on YouTube, co-hosts a radio show about trading, and has a subscription to Forbes magazine.

But his introduction to the markets came at the age of six, when he read the investment self-help staple, Rich Dad, Poor Dad. Two years later, when he saw the movie Trading Places, he knew what he wanted to do with his life.

"Since then, really, I was hooked," Julian said. "I wanted to be one of those traders."

To that end, he has taken stock-trading courses and is the youngest to graduate from the Online Trading Academy.

"I don’t see him as a prodigy. I just see him as my son," Julian’s father, Marcello Marchsese, said on Thursday.

"I think what (Julian's mother) Jacqueline and I have taught him is if you really want something you have to go after it.”

Take the first step in your education!

Chapter11trading strategies involving options

Chapter11trading strategies involving optionsChapter 11 Trading Strategies Involving Options

15) Which of the following describes a protective put?

A) A long put option on a stock plus a long position in the stock

B) A long put option on a stock plus a short position in the stock

C) A short put option on a stock plus a short call option on the stock

D) A short put option on a stock plus a long position in the stock

16) Which of the following describes a covered call?

A) A long call option on a stock plus a long position in the stock

B) A long call option on a stock plus a short put option on the stock

C) A short call option on a stock plus a short position in the stock

D) A short call option on a stock plus a long position in the stock

17) When the interest rate is 5% per annum with continuous compounding, which of the following creates a $1000 principal protected note?

B) A one-year zero-coupon bond plus a one-year call option worth about $49

C) A one-year zero-coupon bond plus a one-year call option worth about $39

D) A one-year zero-coupon bond plus a one-year call option worth about $29

18) A trader creates a long butterfly spread from options with strike prices $60, $65, and $70 by trading a total of 400 options. The options are worth $11, $14, and $18. What is the maximum net gain (after the cost of the options is taken into account)?

Chapter 11 trading strategies involving options

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Expert advisors-forex real profit ea

Expert advisors-forex real profit eaExpert Advisors - Forex Real Profit EA

Forex Real Profit EA is an Expert Advisor which is in principle capable to trade many currency pairs, but at the moment the developers recommend to use it only for about 10 currency pairs with particularly high profit chances. The website does not involve any of the usual marketing stuff and also offers a forum in addition to its short EA overview.

Take profit and stop loss limits are dynamically calculated by the Expert Advisor depending on the market situation, a stealth function is available in case the values are not transferred to the broker. Moreover, it is possible to post maximum take profit and stop loss limits as an additional security feature which would come into force if the connection to the broker is disrupted. Based on the recommended maximum take profit and stop loss limits, the risk reward ratio amounts to 10:1, in reality this value should be considerably lower.

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