Jump trading strategies

Jump trading strategiesCompany Tech Talk: JUMP TRADING

Dinner provided from CHIPOTLE. To help Jump Trading order enough food, please RSVP .

Jump Trading is a leading algorithmic trading firm built upon cutting-edge technology, sophisticated quantitative research, and an entrepreneurial culture. Founded in 1999, Jump Trading has been at the forefront of electronic trading for 16 years and has grown to over 450 people now in Chicago, New York, London, and Singapore.

We look for the sharpest minds from top undergraduate and graduate programs to join our most critical groups:

Quant / algo trading - devising new strategies by combining market intuition with rigorous statistical research and testing our ideas against world-class competition

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If you have uncommon drive and strong skills in math and programming, Jump Trading could be a great place for you.

Work on incredible technology. We are advancing the state of the art in supercomputing, data mining, and machine learning; and building systems at scale that you’d find at only the most elite tech companies.

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Questions? Or if you are interested in learning more about Jump but cannot attend this event, contact amitrovich [atsymbol] jumptrading (Alec Mitrovich) .

Online Jump trading strategies

A simple trading strategy to generate execution alpha

A simple trading strategy to generate execution alphaA Simple Trading Strategy to Generate Execution Alpha

A Simple Trading Strategy to Generate Execution Alpha

Having recently enrolled in the QuantInsti EPAT program. I was quite surprised to learn that a large portion of algorithmic trading was not focused on trying to predict future prices but rather on generating alpha by lowering transaction fees and improving execution prices.

General Problem

Large buy side investors face the problem that when they are dealing with a large quantity of shares trades that they can’t afford to place them in a single market order as the impact on the market would result in obtaining very poor execution prices. There are also time constraints, how fast does an institution need to purchase or offload a certain stock.

Example: An everyday tasks of mine is to send a list of stocks and the quantities that we need to execute to the dealing room, where our head of trading will purchase and offload stocks, over a period of 5 business days, in a manner that our average purchasing price is below the VWAP (average selling price is above the VWAP) and that we don’t create a large disturbance in the market.

Solution: Develop a simple trading strategy to beat the VWAP

Online A simple trading strategy to generate execution alpha

Trading and auctioning in eso-full guide

Trading and auctioning in eso-full guideTrading and Auctioning in ESO - Full Guide

Table of contents

Herein shall be explained the basic ins and outs of ESO Player Guilds, Guild Banks, Player Guild Stores, Public Guild Stores at Keeps, and other types of trading, selling and auctioning amongst players in Elder Scrolls Online. People have been asking about ESO Auction Houses too, so we will gladly give you the actual current facts on that also, along with other relevant ESO trading information.


Player Guilds in Elder Scrolls Online are closely connected with in-game economy and trading, so I would like to tell you basic information about the Guilds first. You will understand why it’s so important to join guilds in order to trade successfully.

ESO Player Guilds are different from the ingame ESO Guilds, such as the Mages. Fighters. and Undaunted Guilds that are part of the ESO Lore and give you their skill-lines. Player Guilds are made by the players themselves, for the purpose of having ingame allies, social support, grouping with friends and/or making new friends; and also for trading and helping each other .

Each ESO player is allowed to create and be Guild Master of one player guild per account only, but each player is allowed to belong to a total of five player guilds . four of which must be made by other players. It is easy to set up a Guild from the ESO ingame menu, which includes instructions; click on the Shield Symbol to create a player guild or to access your guilds, and to set your permissions for your guild bank and store.

You can also search for guilds or groups to join with the magnifying symbol search feature in your ingame menu. The player guild you create will count as one of those five player guilds you can belong to with your account. The Player Guild you make and those you belong to, become associated with your account ; not just with one of your player characters, but also with your alternate characters who will also have access to those player guilds.

Each Guild has a particular allegiance in the Alliance Wars. For example, you can create only one player guild, so you should choose for it, the Alliance that your main character comes from and will most want to fight for in the Alliance Wars with other players. If you have the Explorer Pack, you can play any race in any alliance, but even-so you will have chosen that character’s alliance during character creation and can create a player guild for that Alliance. ESO factions for Alliances are the Aldmeri Dominion (AD), Daggerfall Covenant (DC), and the Ebonheart Pact (EP). Some player guilds are set up to invite players from either the EU or NA Server, and others do not care where the player is from, but look for other commonalities.

However for the purposes of trading, it is possible that a player could belong to any of the player trading guilds they want to, as long as they only belong to no more than a total of five player guilds per account. There is nothing wrong with having a Guild you prefer for close allies for fighting in the Alliance Wars, and then for the purposes of large-scale trading, also joining a large player created merchant guild. This is allowed by ESO.

Each player can be a member of up to 5 guilds. Guilds are bound to your account. Members of different factions can belong to the same guild.


A Player Guild is allowed a Guild Bank of 500 Slots . once enough players have joined that guild to make a total of at least ten (10) players belonging to that guild. A Guild Master should choose a Guild Officer (like a First Mate) whom they can trust and get along well with, to help lead the group. Other players, who join the group, start out as Recruits and as they gain trust; they can be promoted to Members, at the discretion of the Guild Master. Guild Masters generally want to promote players that show positive interest in the group and in helping other players in the group. The Guild Master, sets permissions for the Guild Officer and other ranks, and may allow the Officer permissions to help set other permissions too.

When your Guild Bank is set up, you and those guild-mates given permissions to it, will be able to access it at the same ingame places that they access their regular bank. The Guild Master and/or Guild Officer will initially decide when the Bank is ready to be opened-up to which ranks and they may choose to wait to open it to all members, until they have enough players joined to the guild to be able to open the Guild Store . or they may open it to all guild-mates as soon as they can. This allows participants in the Guild the opportunity to either give away gold or items to the Guild and its participants for free, by depositing them in the Guild Bank – or by selling them in the Guild Store.

Although if and when the banked items can be deposited or taken out from the Guild Bank by any others in the player guild, a record log is still automatically made showing who has deposited or withdrawn from the player guild bank, which helps clarity. This also discourages people from just joining a guild to pillage its bank and then taking off, to sell it all elsewhere – or from just anonymously dumping off hundreds of the same zero value items to take up all the bank slots.

Various Guilds may have different ways off running their bank, for example some may use it for saving up and gearing up for an Alliance Campaign, others may use it to store prizes and gifts for Guild Members and yet other guilds may use it for all out casual sharing with other members at any time.

Player Guild participants want to help their guild allies and so another good use for the bank could be when a member who makes armors for other guild members may want to deposit some armor/s in the bank for members to pick up before a major Alliance Campaign. The Player Guilds Alchemist may in turn want to deposit potions in preparation for war, and so on. In this case the bank may be set to deposit only, till the supplies are in place and then opened for withdrawals right before participating members are preparing for heading off to war.

Difference Between Guild Bank and Guild Store

However the Player Guild Bank is not an Auction House or Store. If you put something in a Guild Bank you are not selling it -- you are gifting it – even if you do take out an item of comparable value whilst there, instead of trading with another player directly. Regardless of how a Guild’s Bank permissions are set at any given time, or how the bank is used for any given player guild - those who have not joined a Player Guild cannot deposit or withdraw from that Guild Bank.

If you put something in a Guild Bank you are not selling it -- you are gifting it . If you want to list an item for selling - use Guild Store.


To open and use a Player Guild Store you will need to have at least fifty participants joined into your Player Guild. If that player guild membership later drops low enough, you will be able to complete already posted transactions; but will lose some of the functions of your store for more new transactions until the membership rises again.

You will be able to access your Player Guild Store, the same way you access your Bank, and Guild Bank. The big difference, between a bank and store is that if you want to sell your items instead of giving them away, your can use your Player Guild Store .

Guild Store is the only place where you can list your items for selling. It is a marketplace of ESO where players can trade. Each player can be a member of up to 5 guilds and thus access up to 5 Guild Stores for selling items.

It is very easy to buy and sell in your Player Guild Store with other player guild-mates. A log of transactions is automatically kept for you, so that your store runs smoothly and people usually seem to get along quite well buying, selling and trading with other guild-mates in friendly player-guilds.

Auction House?

Right now there are no Auction Houses in ESO. But what’s the real difference between Auction House and Guild Store . The only difference is a method of trading. Auction House in most MMO games allows 2 options: to list an item at a fixed price or to set starting price and let buyers to make bids. In Elder Scrolls Online you can sell an item at a fixed price only.

The second big difference is that Auction House is usually server-wide. All players from the server can list items there. In regards to ‘ Auction Houses ’ -- ESO wants to have a player-based economy dependent on players themselves, and a group and guild friendly economy based and what players are able to find and make by playing the ESO game, and to share, trade or sell amongst allies with those bonds. This is one of the reasons why ESO does not currently have all-out Auction Houses.

For example, if there is a rare item that can be obtained ingame and then with so many people on a megaserver multiple versions of an otherwise rare item end up in Auction Houses, for everyone with the coin to just buy it instead of finding or questing for it ingame; that item no longer carries the prize value it once had and the incentive to win that item by exciting ingame actions is diminished.

How to Access Guild Store?

You will need to be a member of a Player Guild . to buy or sell at your Player Guild Store. However, there is currently one legitimate exception to that, which is earned through a great deal of challenge and excitement indeed. This legitimate exception is that, if your Player Guild (or one that you belong to), wins an Alliance War Stronghold, then you will be able to have your Guild Store featured as a Public Guild Store at that Keep. Your Guild will have to hold on to that Keep for your Alliance, if you wish to keep your Public Guild Store there. If you lose that Stronghold, then some other winning Player Guild and their Public Guild Store will have their turn to be featured there instead. If you win it back, you will be able to feature your Public Guild Store at that Keep again.

Public Guild Store allows any player to buy stuff from that guild store. But only members of the guild that owns the store can sell items there. So if you want to buy something from big and established guild visit guild store in one of the Keeps in Cyrodiil .

Selling an Item in a Guild Store

In order to sell an item you need to list it in your guild store. First of all go to the Bank and talk to the keeper. You will see several options allowing you to browse your personal bank, guild bank and guild store. Choose Guild Store and you will see your Guild Store interface. In order to list an item for selling follow these steps:

1) If you belong to multiple guilds, choose a guild where you want to list an item. Each guild has independent listings and that’s why it’s important.

2) Go to “Sell” tab and add your item. Specify a price you would like to get for that item. Don’t forget that the listing is not free. If you add an item you pay commission.

3) After you click “List Item” the item will appear in the guild store and can be purchased by other player.

When another player purchases your item the money will be sent to you by in-game mail. You can see all your listed items for a particular guild in “Listings” tab. It’s possible to chancel the listing of any item if it was not purchased.

More on Auctioning and Trading

As you can now see, although you can have a Player Guild Store and even have a chance to feature a Public Guild Store at a Keep by winning a stronghold in the Alliance Wars -- Nevertheless, there are currently NO official ESO ‘ Auction Houses ’ ingame. Some people have asked for them, but ESO has given some logical reasons why they think this may not be good for the gameplay – and so far have not included ‘Auction Houses’ per say – but prefer the well-won Public Guild Store option.

The way that some players have somewhat gotten around this -- is to set up large trading player guilds and though some of them may use the word/s Auction or Auction House in their title – however these are not really official ingame ‘Auctions Houses’. Player Trading Guilds in ESO will have different rules and ways for you to trade that they can share with you, but if you choose to search anywhere else online for ESO Auction Houses, be aware that so far these are not official ingame Auction Houses approved by ESO! -- So if you choose to buy and sell with them in any way (including with real money), you will be doing so, solely at your own risk. If ESO ever does introduce ‘Auction Houses’ ingame, for sure they would give us official notice. Have fun trading in ESO, but do be careful elsewhere out there, ESO Friends.

Chat-Trading and CoD

Another way that people auction off items in ESO is to announce they have an item for sale with the item name and asking amount mentioned on the ingame chat-box. For example, they may type (without repeatedly spamming it), something like; ‘Racial Motif: Woodelf (Bosmer) 500g or best offer…PST me with offer’. This means the person will trade that item for 500 ingame-gold, or may accept a bit more or less if offered. If the item is sold, the player characters meet ingame and make the trade, or they may choose to do it CoD (Cash on Delivery) via ingame mail.

Ingame mail allows people to send gold or attachments to their contacts. So far we have not seen any complaint with that, however alternately if someone repeatedly spams the chat with www internet links for gold selling to get ingame gold; they may get reported right away. There are types of websites online that offer to sell game-cheats or ingame gold in exchange for real money, so players should be careful not to believe these scams. Those kinds of sites are NOT sanctioned by ESO.

How does CoD work?

CoD is a special system that allows players to trade without risk of losing items or losing money. This system is a part of the game and protects both buyer and seller.

If the item is sold a seller may send an item to a buyer using CoD system. All you need is to attach an item to an in-game e-mail and specify special CoD Price . After the e-mail is delivered a Buyer will see it among other incoming e-mails. A Buyer can open the e-mail to see an attachment but can’t take the attachment without paying a CoD fee . When a buyer takes an attachment the game will notify him that he will be charged. If he agrees to pay he receives an attachment and seller receives the money. As you see it’s a very simple and useful system.

There is one thing you should also know: when you buy an item using CoD you will most likely pay postage fee. This fee may sometimes be big, especially if you buy expensive items. All sellers usually include postage fee in the CoD price. So if the item cost is 1000 gold and postage fee is 60 a buyer will pay 1060 CoD price.

How to Avoid Scam?

The only advice I can give you: check the item before paying . Make sure you are purchasing what you need. CoD system allows you to open the e-mail and examine the attachment before you pay. Double check the attachment before taking it.

We hope this guide has helped you get some clarity of the facts on Player Guild Banks and Stores, Public Guild Stores at Keeps, and the good, the bad and the ugly of other kinds of Trading and Selling – so that you can have as much of a fun experience with trading and sharing in ESO as possible. Please feel free to leave any comments or suggestions for other players. Happiness on you All!

If you are looking for THE FASTEST WAY to reach the level cap with any class within a week, this ESO Leveling Guide by Killer Guides is a definite must have. It comes with step-by-step leveling guide, proven class builds, dungeon walkthroughs, crafting and gold making strategies and more.

Online Trading and auctioning in eso-full guide

Airstream fever

Airstream feverAirstream Fever

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Online Airstream fever

Put the odds on your side

Put the odds on your sideMarket Commentary

The strong bull run that took place throughout October and into early November is over. The break of support at 2070 was negative for $SPX. It could trade down to the 2000-2020 area in the short term.

Equity-only put-call ratios have remained on buy signals, even as $SPX has begun to falter. This perhaps indicates that the current decline is just a minor correction, and not something of a more intermediate-term nature.

Market breadth has been weak, which is not surprising since breadth has been a laggard for 15 months. Breadth oscillators are now on sell signals, but are already in oversold territory.

Market Commentary

The strong bull run that took place throughout October and into early November is over. The break of support at 2070 was negative for $SPX. It could trade down to the 2000-2020 area in the short term.

Equity-only put-call ratios have remained on buy signals, even as $SPX has begun to falter. This perhaps indicates that the current decline is just a minor correction, and not something of a more intermediate-term nature.

Market breadth has been weak, which is not surprising since breadth has been a laggard for 15 months. Breadth oscillators are now on sell signals, but are already in oversold territory.

Online Put the odds on your side

Real estate auctions pros and cons

Real estate auctions pros and consReal Estate Auctions Pros and Cons

Professional Real Estate Investor Instructor

Many people think a real estate auction is the most accurate way to determine the true value of a property. But auctions have a lot of different dynamics many people don’t know about. One of them is something called a shill bid. A shill bid : when the seller (or auction company) has a third party bid on their item solely with the intent of driving the price up and not for the purpose of buying the property.

Shill bids are often used to get the price up to the seller’s reserve price (this is the minimum the seller will accept for the property). It can also be used to drive up the price when active bidding is going on.

Here is a typical auction scenario: Single family REO with an opening bid of $350,000. The opening bid is greatly below value and it does the job, people start bidding like crazy. The property reaches a price close to the FMV (fair market value) of $475,000. The bidding starts to settle down and all of a sudden a new bidder comes into the mix. The auctioneer announces that the bidding will now increase to increments of $5000.00. So the new bidder (our shill) bids $480,000 and the husband and wife who were so close to getting their dream home at $475,000 now need to make a decision if they want to go higher, they do and win at $485,000. Ten thousand more than their “wish” price (as my mentor, Ken Stimson would say). Was it worth it? Or did the auction company capitalize on emotion and use a shill bidder to get $10,000 more?

The answer is YES they did. You can find big winners at auctions but you must know how the game is played and keep to your rules.

My List of Suggested Rules is:

Property due diligence – get comps and run the numbers to see where the price to buy makes sense. This will also include having an “unofficial” inspection. Bring your handyman or contractor to the scheduled open house and have him give you a ball park on repairs needed.

Make sure you take all the opportunities given to view the subject property.

Make sure you know if there is a reserve price and what the fees are.

Multiple Properties – try and research multiple properties that you might be willing to purchase. This does two things:

makes you look like a player if you are bidding on more than one property

doesn’t allow you to get all emotionally tied to just one property

If bidding starts out fast and furious, hang back until the bidding starts to die down. Don’t fuel the fire.

Often the first properties up sell for less because amateur bids will sit back and try to get the lay of the land.

I believe you should look like a professional (this advice often raises differences of opinions). If you are a professional, look like one.

The best auction advice was given to me by my mentor – know your “Walk away” price and stick to it. The property didn’t get any more valuable because someone else is willing to pay more.

You don’t have to use my rules but if you stick to a set of rules it will ensure greater success.

Online Real estate auctions pros and cons

Forex chart pattern trading analysis

Forex chart pattern trading analysisHigh Probability Trading Setups

Forex Guidelines

How to trade successfully

Nothing is for sure in trading and traders always have to live with uncertainty. The trader can only try to find High Probability trading setups with acceptable risk in relation to the price target. After years of trading, I am convinced that the understanding of market manipulation in Forex - Stop Running - and the presented technical charting patterns/ tools are very effective Forex Guidelines for traders to find High Probability trading strategies. For profitable and successful trading I think it is important to understand these basic charting tools. But more important is to put everything in context and to analyze the intention of the market manipulator. The analyzed chart patterns give the trader a Guideline on what chart levels market is likely to react. The way how market price is reacting at these levels depends on the market manipulation strategies as well as on context (trend/ consolidation, confirmation/ non-confirmation of a price breakout, candle close at or near a level at an important timing point (4-hour, hourly close)).

The first step is to know the important price levels as well as to understand the manipulation of the Forex market - stop hunting - and the second step is to analyze price action at these chart levels (e. g. confirmation of a breakout or price rejection, fake breakout - only stop running ).

If market is close to a key chart level (first test) a bounce from this level is likely. Very often, the first breakout fails, which not only catches some stop orders but also fools breakout traders. A true breakout often occurs after the stops of the early breakout traders got already cleared by the false first breakout. If market returns quickly to the key level after the failed first breakout (second test) or market even consolidates at the chart level (Continuation Chart Pattern) then a break of this market level is more likely particularly at an important timing point (either again for a false price breakout-stop hunting - or true price breakout - confirmation ).

In generell, after the breakout traders got trapped and stopped out due to the false first breakout the chance for a true breakout is increasing with the second test of this market level. Furthermore, a trader should also understand the changing role of support/ resistance levels after a confirmed break of a level.

Overall, a trader should try to understand the intention of the market manipulator and a trader should use the technical chart analysis to find confluence levels where more charting signals agree on a specific level to find profitable trading setups.

The market recaps should help traders to get a feeling for the use of the chart analysis tools and the characteristics of price action. The market recaps should also explain the most influencing chart technical factors (IMO) on the price movements to give traders an idea how and why market reacts in a specific way.

Many chart patterns will repeat again and again. If the trader understands these High Probability trading setups and strategies as well as the likely implication of these trading setups for future price action and price targets plus the implication of a rejecting of these chart patterns then someone can tie everything together and search for these profitable trading strategies (key levels/ confluence levels, market manipulation/ chart patterns) to successfully trade the Forex market.

However, the most important key factor about forex, which might separate the winners from the losers, is the understanding of the market price manipulation in Forex. The ability to understand and to see the market manipulation on the price charts should enable the trader to find profitable trading setups and strategies.

However, for the longer term . it is also very important to analysis the fundamentals of the currencies. I personally like the investment bank reports on efxnews,/ the analysis on zerohedge and the fx pulse reports and gic weekly from Morgan Stanley.

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Always astudent

Always astudentAlways a Student

Subscribe to the Weekly Newsletter published by Online Trading Academy. Receive the full newsletter with charts!

By Fernando Gonzalez

My most vulnerable state as a trader is when I think I have figured out the markets. Such a state is even more distinct when deep into a long winning streak. Although I can usually get my trading direction right and I can have a pretty wide imagination as to how far the market can go in any one period of time, the market has taught me over time that reality can often eclipse the imagination. On top of its common propensity to reverse direction suddenly, it also has an awesome way of going higher and lower than I can imagine it to be, before the turn.

Perhaps this is an innate limitation I possess as a single human being, competing against the awesome breadth of a vast market that represents the collective behavior of tens or hundreds of thousands, and even millions of people. Although I have taken my trading to the pinnacle, I have long ago surrendered to the fact that despite finding myself teaching so many others about the markets, I am always a student, a student of the market.

Thus, I trade not to lose, and in so doing, I can often make it to the winning side. This happens by my own doing, and in an eerie kind of way, I get there because every decision I make is geared not to go in the wrong direction. And to go to an even more bizarre level, countless are the times when I have booked very profitable days and weeks, despite having been dead wrong about what I thought the market would do. I suppose that if I were to describe the "pinnacle" of trading, among them would be the ability to make money, even if you are wrong. I suppose it's about developing an instinct to separate our own innate limitations as individuals and surrender completely to the market.

In my rookie year as a trader, I thought that one day if I do this long enough, the light bulb will suddenly turn on, and everything will be easy after that point. Not so. There are so many times when the light bulb turns on, and in fact, it's not really an "on and off" but more like a dimmer switch that constantly oscillates between on and off, even so to this day. On the way, I have found that perhaps my most vulnerable times were those times when the light was shining the brightest. As a result, time has taught me that I must always be prepared for changes that come in various sizes.

For a rookie trader, I advise that as much as we can receive so much "bad" information and education about trading, we have to be in a constant state of looking for those little "bits" of knowledge, just enough to fit what we need in our trading NOW. Having an open mind, or being a humble "student" of trading and the markets should be an interminable state. It assures that you are always ready for the changes the market constantly brings, and thus perpetuate an effective interaction with the markets.

Until next time, happy trading!

Online Always astudent

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Selecting binary option brokers is crucial before going to trade binary options. It is recommended to research some of the more well known binary option brokers by searching online. The type of thing to look out for are negative messages posted in forums about:

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In the summer of 2012, the Cyprus government began to regulate binary option brokers. This is under the watchful eye of the Cyprus Securities Commission (CySec). Binary option brokers who are regulated will display their relevant credentials clearly on their website. It is rare for binary option brokers to display credentials if they are not regulated, but verification can be made with the Cyprus Securities Commission.

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Euro Shoots to 14 Month High Against The USD

January 30 th – amidst speculation that the Federal Reserve is indicating a policy change to it asset-buying program, the USD dropped against the majority of the top traded currencies at close yesterday. It is now expected that the Fed will make a substantial injection into the US financial system. Despite the Dow Jones Industrial Average reaching a 5 year high, the USD still failed to pull back against most major currencies. The awaited FOMC statement is also drawing a baited breathe from the investment community.

Despite the bullish trend currently seen in the NASDAQ, it closed yesterday without change. It is expected to rise to the 2,780 level.

Also the price of Gold increased by 0.50% and finished the day at $1,663.00 per ounce. The basis of this was speculation that the Federal Reserve is to widen measures on the US stimulus and in turn, cause the demand for gold to increase. Indicators suggest that Gold will sustain the support level of $1,657.0. If this for some reason, does not happen, Gold will probably drop to the $1,646 level.

Crude oil also reached a 4 month high and closed yesterday at $97.35 a barrel. This is mainly an optimistic call based on the growth of the US economy. However, actual growth has only been seen in the drop in unemployment and no real change has occurred in the economy. Supporting this bullish trend is the RSI indicator.

The Euro peaked at a 14 month high against the USD based on the recovery plans set for the Eurozone. The USD/EUR is still currently trading upwards. As long as trades are above 1.3430, the pair is expected to remain bullish. Jens Weidmann, President of Deutsche Bundesbank is expected to make an announcement later today.

The GBP/USD is also showing a bullish trend, trading above the 1.5710 support level with the possibility of reaching its 1.5820 resistance level. If the resistance level is not exceeded, there is fear that it may drop to 1.5700.

One of the major currencies gaining on the USD was its counterpart the CAD. Seen as a bear trend, it will remain this way while the pair will trade below the 1.0060 resistance level.

Google, Facebook to Rise in Wake of Mobile Spending

When the shift in advertising started to drift from offline to online, there was no shortage of online inventory. As online advertising developed, the focus came down to ROI for advertising dollars spent. Suddenly, marketers were able to measure performance in a way never seen before in the world of offline advertising.

Over time, the price of online advertising steadily rose as the demand increased. Advertising networks, affiliate programs, pay per click traffic and SEO (search engine optimization). The budgets to be seen online seemed to be endless.

Now we are entering into another shift. This time advertisers are looking to reach mobile smartphone users. Google, Facebook and a whole array of mobile advertising companies have already entered this market to provide advertising solutions to the companies with mobile advertising budgets.

According to Gartner, mobile advertising will increase 18.8% to $11.4 billion in 2013. The total spend on mobile advertising in 2012 was $9.6 billion. The prediction is expected to reach a peak in 2016 of $24.5 billion.

The effect that we will see from this is the share price of companies whose core business is application development, advertising networks and platform providers.

However, the adverse effect will be decreased spending in advertising in other more traditional media such as newspapers and printed publications.

Gartner is also predicting that although mobile search will continue to be the driving force during the period of this forecast “mobile display ad spending will grow and take over from mobile search”.

Consumers are spending more time on mobile devices and thus creating the demand for mobile advertising inventory quicker than they can physically re-allocate their advertising budgets. Due to an excess of unallocated advertising space on mobile, application developers have been spending on mobile ads to increase exposure to their applications, a process known as ‘paid discovery’, while the unit prices for mobile advertising have remained relatively low.

Once the larger companies have the time to re-align their budgets, the cost of mobile advertising will soar.

This will result in the share price increase of Google, Facebook and a decline in shares such as Lamar Advertising who provide offline advertising.

Iran Bars Oil and Gas Exports to EU

In yet another snub against the west, Iran has banned crude oil and gas exports to the 27 countries forming the European Union. The ban comes as no surprise as the EU had already previously begun to boycott imports of Iranian commodities in order to impose sanctions over Irans nuclear program.

The announcement, which came earlier today, is a symbol of retaliation against the EU and is currently unclear whether this will have any meaningful effect.

Speaking in Tehran, Ali Reza Nikzad Rahbar, spokesman for the Iranian government stated The Iranian ban will remain as long as hostile decision are made by the EU. The story was broken by Fox News .

Before the ban was implemented last year, the sale of oil to the EU bloc counted for approximately 18% or Irans oil sales.

The rise in Crude Oil has seen a rise of 5.42% over the past month.

Earlier today, unconfirmed reports were circulating about an explosion in Irans Fordo uranium enrichment facility. The report quotes unknown Iranian sources but as yet, has not been corroborated.

World Currency Roundup January 23rd 2013

The UK has reported a surprise decline in unemployment which has now become the main reason for the GBP sterling to strengthen its position against the USD. Gaining 0.2% to $1.5874 just before 10am GMT today. It also reflected positively against the Euro by advancing 0.1% to 84.03 pence to the Euro.

Japanese Yen has also risen for the third consecutive day against the USD. This has been the longest successive rise in a little under two months. This comes from speculative talk from the Bank of Japan on implementing a plan for economic growth.

Compared to all sixteen of the other major currencies, the YEN has stayed strong. The inflation target increased yesterday to two percent. As of 06:27 New York time, the YEN was valued 0.4 higher at 88.33 against the USD. Over the past three days the YEN has gained 2%. It also strengthened against the Euro by 0.3% to 117.82 per Euro.

The South Korean won, which has been the best performing currency of 2012, has also shown a sharp decline. Bahk Jae Wan, Korea’s Finance Minsister stated that the Korean government is “all ready” for new measures. Speaking to journalist in Seoul he would not give any details of these measures would be implemented. Lowest point for the won was January 15 th when it dropped to 1,054.49, the lowest since August 2011. Overseas investors have also been selling Korean holdings more than buying. This has also attributed to the decline in the won.

The economic growth forecast for South Korea was cut by Goldman Sachs from 3.4% to 3.1% earlier today.

After a two day increase the Australian Dollar AUD also fell after based on published data showing that consumer prices increased in the last quarter of 2012. A drop in the interest rates against loans is an expected outcome. Measured against the major 16 currencies, the AUD dropped in comparison to all but one.

The Australian dollar drop was measure at a 0.3% decrease to $1.0538. It also fell 0.6% against the Japanese Yen to 93.21. The chances that the Reserve Bank of Australia will decrease its key rate to an all-time low of 2.75 in February is 47%.

Google Shares Rise Despite Decreasing Average Cost Per Click

In a recent earnings call, despite a drop in the average cost per click for advertising on the Google network, the search engine giant has prevailed and shown good results. Analysts stated this was mainly due to adding a new product listings search feature at the end of 2012 and reaching more international markets.

In stock news, the reported net revenue was up from $8.13 billion to $9.83 billion a year later. A poll taken among Reuters analysts had under predicted the forecast at around $9.6 billion.

Business from international markets was reported to have risen 23% in one year whereas the growth in the 3 rd quarter was only 15%.

One of the key performance indicators to measure Google’s performance and plays a big part in the valuation of the stock is the average cost-per-click. Despite an increase from the 3 rd quarter the average CPC had fallen 6% from the previous year.

The fall in the CPC was mainly due to the increase of consumer using mobile smartphones. Advertising for smartphones using Google’s advertising platform provides advertisers with lower rates than on the web based ad network. This also shows that advertising money is beginning to shift to mobile advertising. It is still difficult and too early to measure the effectiveness of mobile advertising on the Google mobile network.

Last year saw Google acquire Motorola Mobility. This was the foundation of Google’s move into mobile waters. However, Motorola Mobility reported yet another quarterly loss.

In a recent interview, Google CEO, Larry Page stated We now live in a multi-screen world, we feel naked without our smartphone. Despite the non-profitable Motorola Mobility, Google is continuing to focus on mobile smartphones.

The reported net income, in other stock news, for the fourth quarter was $2.89 billion which translated to $8.62 per share. The figures for last year were $2.71 billion and $8.22 per share before the Motorola acquisition.

Despite mobile click prices making the average CPC decline and adding pressure on the share matrices, it is thought to be only a matter of time that the mobile CPC prices will rise in-line with a higher demand for mobile advertising space.

The operating loss reported for Motorola Mobility during the quarter was $353 million.

Patrick Pichette, CFO of Google predicted more turbulence with Motorola’s financial results in 2013 while efforts are made to restructure Motorola.

Google also announced a plan to off-load the Motorola Home television set top box business to Arris Group Inc. The price of the deal is set at $2.35 billion. Additional development will focus on a smaller range of products for the mobile phone industry.

Google share were on the up around 5% to $738.20 in Tuesday’s after-hours trading.

Betting On Binary Options

Not to be confused with real trading, Binary Options offer ‘traders’ all the fun and excitement of playing in a casino.

Following a stock trend for months, or reading in-depth reports on commodities and currency movements, probably won’t guarantee that a deal transacted in a Binary Options platform will move in your favor. It will, however, give the basis of, at most, an educated guess.

Next week Facebook will report its earnings. January 30 th to be precise. On the outcome of that call the stock will certainly move. Now, putting this into a Binary Options trade would mean that a trader needs to guess the outcome of the price of Facebook within an allotted time.

Most Binary Option platforms start at 60 seconds and go up to one hour. For example, the price of Facebook is 29.66. The Binary Options trader simply bets if the price will move up or down at the end of the allotted time. The connection to any real data in reference to the stock is usually irrelevant given the nature of traded stocks. Even if a stock is performing well in a 24 hour period, does not necessarily mean that it will not go down for a few minutes during that 24 hour period. That is exactly where Binary Option platforms make their money.

Most Binary Option brokers are usually also the market maker. Much in the same way that all bets lost in a casino go to the house. Similar to casinos, Binary Option trades do not have to be transacted only when there is a buyer and a seller. If a trader bets that a stock will go up, the operator will take the bet and cover the payout.

If, however, a trader places $200 on a stock, commodity or currency to rise and the payout is 81%, then when the deal closes according to the prediction of the trader, the trader wins $162 on top of their $200 bet.

The biggest difference and the reason why Binary Options is so risky is because the deal closes at the allotted time. This means it cannot be extended and only rarely, and with a penalty, can a deal be closed before time.

For more information about Binary Options, checkout our Binary Options page.

Banks to Cut Down On Commodities Due to Tighter Regulation on Wall Street

In an eight year low, Goldman Sachs how decreased its risk in commodity investment. This signals the tightening regulation imposed on Wall Street. Up until now Goldman Sachs has been the biggest bank measured by commodity revenue.

In an announcement yesterday, the bank stated that under the new “Value at Risk” ratio, Goldman Sachs could have made a $22m loss per day.

Used to measure potential loss, and one of a just a handful of public indicators, the VAR (Value at Risk) has become a common industry measurement used to determine

This signals a drop across the board of Wall Street banks in risk taking commodities and has come about due to harsher regulation.

It could also be that price volatility has fallen from a lower Value-At-Risk. Back in 2009, VAR levels were lower, but commodities still profited. Harvey Schwartz, the new CFO of Goldman Sachs stated “virtually all the drop in the bank’s VAR – not only in commodities – in the last three months of last year reflected the decline in market volatility”.

There has been a significant drop in revenue from commodities industry wide. Around $10 to $11bn last year has dropped from a peak between 2006 and 2008 of around $16bn. The arrival of more banks in the commodities market was the key factor which reduced commodity revenue per bank.

Now that there has been such a significant drop in profitability of commodities, a handful of banks including RBS, UBS and Credit Agricole have made a conscious decision to abandon their hold on the commodities market. Meanwhile, some banks such as Barclays and Deutsche have just sized down their commodity investments but have not left the market completely.

Forex News 17th January 2013

European Central Bank Expects Recovery in 2013

Following the release of the European Central Bank’s monthly bulleting, the following conclusions can be made:

In 2013 the European economy is set to recover, although it may not be until the second half of the year.

Inflation is likely to decrease to under 2%.

Trading in the Euro will increase.

Despite the relatively upbeat announcement, they have hedged their bets (no pun intended) by adding that there is still the risk that the economy will remain on the downward slope how it ended 2012.

The main factors quoted for the rise are the accommodative monetary and a very clear indication that confidence has increased in the financial market. The road to recovery is far from short but the ECB also have expectations that demand on international export will and play a major part in the recovery.

The report also offered good news regarding inflation, with a decrease to below 2%.

The gross domestic product will attract attention for the result from Q4. As inflation dropped in December 2012 to 2.2%, it will be a simpler task for the ECB to make firmer decisions on monetary policies. Even a small sign that the battered Euro zone is recovering would be a positive outcome for the Euro.

Despite the positive bulletin, the Euro still traded slightly below 1.3350 against the USD in the foreign exchange market. German’s Economic Minister, Roesler stated that ‘Germany won’t accept a weakening Euro and will pay the price to save the single currency.

Currently, Germany sits as one of the strongest economies in Europe and will fight to maintain a steady price on Euro trading.

Online How traders make money

Time to talking forex

Time to talking forexForex Trading Traps

by: Steve Pasfield

I wish I was reading this a couple of years ago!!

It would have saved me a lot of money!

Well it might not be a lot of money to the guys who sold me their Forex trading systems, but it was to me. I spent thousands of my hard earned and saved dollars on Forex systems that promised big results, yet did not deliver for me.

Dont get me wrong, some of the Forex systems work; I actually talked to people who did get results from the programs.

Unfortunately I was one of them!

Yes you read it correctly I made money in my first week of trading!

In Forex you basically trade long term or short term, I was doing the short term trading (a day or less).

Yes I made good money thousands of dollars, boy was I excited I was wondering how long had this been going on. Forget the 9 to 5 job that just gets you by, that pays the bills but you dont have anything left over to live on. I was going to make a killing, retire, work a few hours a day and live the good life!

Everything was great for a couple of weeks then I lost on a few trades, no big deal I will get it back on the next one. Because I had made good money for a couple of weeks I "knew I would get it back".

Then I began to learn what really goes on in the Forex world.

Swimming in shark infested water would be safer than playing with these guys.

Sometimes little bites, then big bites that almost break you in two, yes sir these guys know how to get at you.

This is what happened to me.

The market would be heading steadily in one direction then all of a sudden reverse and take my position out; you guessed it I would lose money. The weird thing about it was that when I did not set my stop loss it hardly happened to me. (The problem with putting a trade on without a stop loss is that you have to watch the trade all the time in case the market makes a big move against you, very dangerous.)

What was going on?

Ok there is a lesson here, the Forex broker was playing games with me he would manipulate the price to stop out my position and take my money! I found that one out too late, but you need to take note there are a lot of crooks out there in the Forex World. These guys know every trick in the book and they have been doing this for years. I started a demo account with another broker and compared the price movements and thats how I found out that my broker was playing games.

Once I knew their tactics I could change brokers and see if the next one did the same or not put a stop loss on and spend all day in front of the computer. Well I still had to work and pay the bills so that was not going to work for me and frankly I did not have a lot of money left in the account to work with.

I learnt something else during this period; you need to take all the emotion out of your trading. I found that difficult as I had made money to start with and as I am not a robot, making money to start with turned out to be part of my downfall, it clouded my judgement.

What I needed and it is what you need.

An honest broker that is happy earning their money from the spread they get for each trade, their commission if you like.

A system that get better than 50% winners and takes the emotion out of the trading!

I was determined to get this Forex thing working for me; I could see the potential I just could not get it working for me.

So I tried several auto trading systems, some that only cost a $100 dollars and others that cost me over a thousand.

The real cheap ones could get a 50% or better winning trade result but only in certain market conditions. If the market was not working the way they assumed I would lose (I was only using demo accounts for these, I have learnt a little bit since I started trading Forex) and all the gains made would disappear.

The systems that cost a lot more where complicated you had heaps of setting that you had to adjust depending on things like, time of day, market trends - steady market volatile market, the currency pair that you were trading etc etc.

You getting the picture? You need to be an analytical person or plainly put a rocket scientist to get it right. I not either of them so that did not work.

Frankly it was all too hard and too costly and I needed a break.

I never gave up on the Forex market I just needed to regroup and start a fresh.

A few months later I was looking at a website that promised results in the Forex market. My first reaction was oh yea I have heard that before, yet I had a look.

These days I know what I am looking for:

• An automated system, to take the emotion out of it.

• A money back guarantee, if they dont have one then they do not believe it works, so why should I.

• An honest broker that works with the system, it not much good having a system only to find out your broker can't or won't support it.

• A broker that has reasonable spreads, the commission the broker gets on each deal. If the spread is to much it is hard for a lot of systems to make money.

When you drop a few thousand on Forex courses and systems and then a few more on Forex trading, it prompts a lot of soul searching.

These days I know what I am looking for:

• An automated system, to take the emotion out of it.

• A money back guarantee, if they dont have one then they do not believe it works, so why should I.

• An honest broker that works with the system, it not much good having a system only to find out your broker can't or won't support it.

• A broker that has reasonable spreads, the commission the broker gets on each deal. If the spread is to much it is hard for a lot of systems to make money.

A broker that does'nt deal against you, you win he loses - you lose he wins. Guess what happens in these situations.

A broker that does'nt deal against you, you win he loses - you lose he wins. Guess what happens in these situations.

These days I know what I am looking for:

• An automated system, to take the emotion out of it.

• A money back guarantee, if they dont have one then they do not believe it works, so why should I.

• An honest broker that works with the system, it not much good having a system only to find out your broker can't or won't support it.

• A broker that has reasonable spreads, the commission the broker gets on each deal. If the spread is to much it is hard for a lot of systems to make money.

• A broker that does not deal against you ie you win he loses, you lose he wins. Guess what happens in this situation.

When you drop a few thousand on Forex courses and systems and then a few more on Forex trading, it prompts a lot of soul searching.

About The Author

Steve has spent years and a lot of money investigating Forex systems and brokers.

He is happy to share his experience so that others can avoid the pitfalls of Forex trading and online business. If you want more information go to theirkidding and save yourself some heartache.

Online Time to talking forex

Good experience

Good experience“ Good Experience ”

I worked at Online Trading Academy as a contractor (More than a year)

The people at OTA are really smart and talented, so it was possible to be pretty innovative with all of the different projects we worked on. It never felt like we were working with archaic technologies or stale ideas. I also like that the product is different than the competition in the market - less hype, more realistic and focused on really helping people long-term.

Many projects happening at once, which can be tough to manage if you like to only focus on a few different initiatives a day. I thrive in a fast-paced environment, but others can find it difficult.

“ Education counselor ”

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Turtle trading strategy pdf

Turtle trading strategy pdfmotivated by e-mail from Mario R.

Okay, here's the story (according to a PDF file that Mario sent me).

Note . The very best explanation I've found is here .

Once upon a time there was this famous commodities speculator, Richard Dennis .

Dubbed the "Prince of the Pit", he made $200M in ten years.

Convinced that one could learn to be a good trader, he hired thirteen students and taught them his "Turtle Trading System", in 1983.

He funded each student with funds, from $500K to $2M, starting in Feb, 1984. They were called his "turtles".

Over the next four years the turtles averaged an annual return of 80%. (The DOW increased at an annual rate of about 14% over that period.)

>Don't tell me. You're going to explain this Turtle Trading System, right?

Yes, if I can.

Though it's meant to be applied to commodities trading, in things like coffee, cocoa, eurodollars, gold, silver, oil etc. . we'll just talk about plain vanilla stocks.

>If Dennis made so much money, why didn't he keep the system a secret?

Apparently, one (or more?) of his students is selling the system . making money without the consent of the originators of the system.

SO . another student has published a description of the original Turtle System .

>So what is this system?

Uh, yes, it goes like this:

Each day we calculate TR . the T rue R ange. (See ATR )

That's the maximum value of:

(today's High) - (today's Low)

| (today's High) - (yesterday's Close) |

| (today's Low) - (yesterday's Close) |

Then we calculate the 20-day E xponential M oving A verage of the TR . (See EMA )

We use the following prescription, calling the result N .

(If it were an ordinary, garden variety moving average rather than an exponential moving average, it might also be called Average True Range.)

N (today) =(19/20) N (yesterday) + (1/20) TR (today)

Note that we need 20 days worth of data in order to begin our calculations.

>Huh? 19/20 and 1/20? Isn't that the 19-day EMA?

Yes, but I'm just regurgitating the explanation given in the PDF file. so don't worry about it.

>Why an exponential average. and why some True Range thing?

The True Range is a measure of the daily volatility, the price swings over a 24 hour period, the degree of violent behaviour - and we want some moving average smooothing, hence EMA so.

> Okay! Please continue.

Okay, armed with the value of N . we calculate a Dollar Volatility like so:

Suppose that a 1 point change in the asset generates a change of $ D in the contract. ( D is Dollars per Point.)

Dollar Volatility = N D

>Huh? Dollars per Point?

Yeah, that confused me, too.

In the Turtle System, practised by Richard Dennis (and his students), they were trading in futures.

For example, one futures contract for heating oil represents 42,000 gallons. (That's 1000 barrels.)

Then, for heating oil, a $1 change in the price of heating oil would change the price of the contract by $ D = $42,000.

Okay, now suppose you have $1M to invest. How much should you invest in the asset with a given Dollar Volatility .

>I give up.

That was a rhetorical question.

The Turtle answer is 1% of your equity per unit of Dollar Volatility .

That is, you build your position in the asset in "Units".

Each unit is 1% of your equity for each unit of Dollar Volatility .

In other words, each Unit is:

Unit = (1% of Portfolio Equity) / (Dollar Volatility)

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Day trading es weekly options an alternative to futures

Day trading es weekly options an alternative to futuresDay Trading ES Weekly Options: An Alternative to Futures

Every so often a new product comes out that opens a new door to opportunity.

Since the 80s when computers began their takeover of the trading industry a variety of new products have been created for traders to speculate, hedge, and insure against risk.

Electronic index futures such as the E-mini’s (ES, YM, NQ, and TF) allow us to take advantage of price fluctuations tick by tick in the broader indices.

ETFs have changed the way we group baskets of stocks together, allowing us to trade a variety of companies within one instrument.

Options enhanced our ability to mitigate risk, by limiting downside and (in certain cases) allowing for unlimited upside potential. One of the drawbacks to long options trading has always been theta, or time decay.

An Alternative to Futures

Just like futures, options expire. The difference, as your option contract get closer and closer to expiration the value can begin to decrease dramatically (this can either work in your favor if you’re on the short side, writer of the option or against you if you’re a buyer of an option).

That brings us to options on futures . more specifically weekly options on futures. At first glance you might think that weekly options would be extremely risky due to their short expiration, but let’s consider them for another purpose, day trading and short term swing trading using the ES weekly options .

If you’re new to options or futures or options on futures here’s a guide from the CME outlining some of the basics of options on futures .

Weekly Options on Futures

Weekly options on futures provide a nice alternative to straight up day trading futures, let’s have a look:

What are the benefits?

No futures account needed

Limited risk (when buying weekly options)

Pattern day trade rule does not apply*

* The pattern day trade rule states that if your account is less than $25,000 you may only make 3 day trades in a 5 day period. Futures accounts are exempt from this rule, along with weekly options on futures.

Another positive to trading weekly options is that (thanks to the option Greek: Delta) going long options increase in value quicker as they move in your favor, and decrease in value slower as they move against you.

What are the negatives?

Short time to expiration

Harder to set limit orders in anticipation of entry or target

Because of the option pricing structure, if you purchased a weekly ES call option on Monday and price moves in your favor, but you hang on until Friday the option has the potential for expiring worthless.

In other words, not only do you need to be correct on the direction of the move, the move also needs to occur within a rather quick window of time. For this reason weekly ES options make for a great day trading opportunity.

It also requires a little more effort when placing orders since it’s not just a matter of clicking on the price ladder. Below is an example of the options trade grid in Thinkorswim.

Be sure to adjust your quantity accordingly and make sure to play around with them in SIM mode before you attempt trading them live.

Uses for ES Weekly Options

Short term price swings (intraday and 1-3 day fluctuations)

News plays

Insurance or hedge against other positions

Just like futures, day trading the ES weekly options on the 15-min chart allows for some great intraday opportunities. We can also use the ES weekly options to enter on the daily chart.

Capital Requirements and Cost Structure

Options on futures act just like any other stock option; the slight difference is the cost structure.

A traditional stock option controls the equivalent of 100 shares of that stock, thus the cost (less commission) for buying one $7.50 option is $750 or 100x the option bid/ask price.

For ES options on futures however, you’re not controlling 100 shares of stock. The cost (less commission) is only 50x the option bid/ask price. Thus an $7.50 option only costs $375.

Which Strike to Buy?

Looking at the option trade grid, which option strike will give you the best bang for your buck? One idea is to pick a strike at the money, meaning a strike right around the current price (one strike in or out of the money works too).

Another idea and the method I prefer is to look at the option deltas. If we have a setup on the ES 15-min chart with the distance between the 50% and 61.8% yielding 2 points, we can look to the delta to give us an idea of what our risk will be.

For every point the E-mini ES moves, the weekly option contract will move the value of half the delta (approximately). So if we look at an option with a delta of .50 we can estimate that a 2 point move against us will yield approximately a $50 loss.

This method of deriving our strike price from the option delta is a much better way to manage our risk. Looking at the distance between the 50 and 61.8 gives us a starting point. Looking out to the -23% target will give us an idea of our risk/reward.

If you’re new to options or futures or options on futures here’s a guide from the CME outlining some of the basics of options on futures .

Why I think they’re neat

The ES weekly options provide a low risk way to day trade the 15-min and daily levels. For traders without a futures account or hesitant about trading futures, these can be a great way to control risk, while still taking advantage of the short term price swings in the ES.

Online Day trading es weekly options an alternative to futures

The best and free momentum breakout trading strategy tips

The best and free momentum breakout trading strategy tipsThe Best and Free Momentum Breakout Trading Strategy Tips

Breakout trading is a common term used to define a certain momentum trading stock market strategy. What exactly is it and what are some free tips so can you profit from this technique?

Breakout Strategy Trading Explanation

Stocks will trade in two key ways:



When a stock is in a trend the price will appreciate making higher highs, or depreciate over time making lower lows. At other times a stock will go up, and down, and up, and down without establishing a definite and sustained direction. When this happens over a long period of time the price movement is often bound within a range; there is an overhead resistance and a support level underneath.

When share prices break out past the overhead resistance on heavy volume, a succeeding price run-up often occurs.

Large Momentum Trading is Key

Momentum trading describes the buying and selling force behind a price move. If the stock creeps upwards on anemic volume, sufficient momentum trading does not exist for a true breakout. If prices jump, perhaps evening gapping up, and the volume greatly exceeds the normal daily volume, enough momentum might be present for a sustained price move.

Remember that momentum has these two components:

A rapid price move

Accompanied high volume support

Charting Support and Resistance Levels

Support and resistance levels are merely there prices where share prices reversed direction. The more times the share price has bounced off, or retreated from this level, the stronger it becomes. Support and resistance levels are psychological barriers inside the minds of investors.

Simply draw a horizontal line underneath share price bottoms and draw a line on top of share price highs. Stocks making 52-week highs are another quick source of finding breakout stocks. Most websites will provide a list of these annual price highs for free.

Some of the Best Lists of Breakout Stocks

Here are a few free website lists to use if you are looking for a quick basket of potential breakout stock candidates.

Clearstation Record Price Breakout List

Under the orange heading called Tag Bag . you will notice a link called Graphs: In Bulk . Analyzing a quick snapshot of each chart with technical indicators is a quick way to indentify breakout stocks.

Stockcharts Gap Ups

When prices jump up on heavy volume, this usually indicates strong momentum trading. Just be forewarned that some thinly traded stocks might also appear on the list which are red herrings. Illiquid companies will gap up and down as there are few buyers and sellers to create a smooth trading pattern.

Stockdisciplines List of Upward Momentum Stocks

This is listed third on my list since the free list is always a few days old. What I like about this list is that they differentiate multiple time-frame moving average crossovers combined with an increase in volume. Thus, you can find momentum breakouts for very short-term trades, or for a larger price move.

Free Tips for Trading Momentum Breakouts

Many breakouts fail. Be sure to look for very high volume accompanied with the price move to verify that investors are forcing this stock up. Double the daily volume can create a high momentum price jump needed for a breakout.

Prices that breakout above resistance will often come back to test it as support. This will provide a second entry point if you miss the first.

Never chase a stock. Even if it trades on extremely high volume, this does not mean that the stock can sustain an extremely steep price move indefinitely. If you missed the train, keep looking for your next opportunity. The market is full of momentum trading stocks.

Breakout stocks will be a magnet for short-term momentum traders as well as day-traders. Be careful of reading too much into message boards as trolling manipulators will try to coerce your good sense away.

Set a profit target and a stop-loss. With these volatile momentum stocks you can make money or lose capital in a very short period of time. Consider using PSAR as a stop-loss which can also double up as a trailing profit target. PSAR can be used on any time frame of chart from one minute to one week bars based on your trading preference.

I hope that you found these free stock market strategies as some of the best to trade in the stock market. Just remember that sharp price advances that bust past resistance levels on high volume are momentum breakout stocks that, properly harnessed, provide short-term trading profit.

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Momentum traders

Momentum tradersMomentum Traders

To understand the meaning and functionality of momentum traders it is necessary to know what “momentum” actually implies and its interpretation in regard to trading.

Definition of momentum

The Webster’s Dictionary defines momentum as…..

“the strength or force gained by motion or through the development of events.”

Definition of momentum traders

These traders are looking for acceleration in a stock's price, earnings, or revenues. The traders will then often take a long or short position in the stock with the hope that its momentum will continue in either an upward or downward direction. This strategy relies more on short-term movements in price rather than fundamental particulars of companies, and is not recommended for novices.

Therefore momentum traders trade stocks that are moving significantly in one direction on high volume. The length of time for which momentum traders hold their position in a trade depends on how quickly the stock is moving.

Momentum traders are truly a unique group of individuals. Unlike other traders or analysts who dissect a company's financial statements or chart patterns, a momentum trader is only concerned with stocks in the news. These stocks will be the high percentage and volume movers of the day.

Do not confuse momentum stock trading with trend trading, which is more commonly practiced.

Requirements for successful momentum traders

To be a successful momentum trader, you must have the mental focus to remain steadfast when things are going your way and to wait when targets are yet to be reached. Momentum trading requires a massive display of discipline. This makes short-term momentum trading one of the more difficult means of making a profit.

Momentum trading is performed as a day-trading function and can happen relatively fast; therefore time and timing is extremely important.

Successful momentum traders require a special combination of both technical and fundamental (event-based) analysis.

Technicals-based momentum trader

Technicals-based momentum traders make trading decisions based on their perception that the market is higher or lower than expected.

Technical analysis is the prediction by a momentum trader of a certain financial instrument being temporarily:

higher than it should be, in which case the momentum trader can make money by shorting now and buying later; or

lower than it should be, in which case the momentum trader can make money by buying now and shorting later.

Event-based (fundamental) momentum traders

An event-based or fundamental-based momentum trader makes trading decisions based on market volatility resulting from news or incidents happening in the course of a trading day.

When the news breaks out, the market will usually become very volatile. The markets for affected stocks and other financial instruments generally swing a lot, starting the moment the news comes out and potentially lasting for a few hours. During this time, momentum traders try to make money making very rapid trades based on the values of those financial instruments fluctuating wildly. A delay of seconds to minutes, as is common in traditional online trading, would therefore not be acceptable to such traders.

Remember: Stocks do not trade on technical analysis and business fundamentals alone. Financial worries, dreams, greed and fear are often the driving factors in investing. Momentum trading strategies attempt to flush out the stocks that are moving because of these factors.

Momentum trading strategy

Momentum trading is more than identifying which way a stock is trending; it is a trading strategy that focuses on stocks or other trading instruments that are showing a strong move in a particular direction, usually on high volume, within a specified time period.

The core strategy of momentum investing is to buy stocks that have been trending in one particular direction, frequently taking the form of buying a new high. Momentum investors aim to capture the waves of enthusiasm that can send stocks blasting higher for extended periods of time.

Momentum trading techniques

Daily "stock watch list" - Momentum traders will typically have a daily "stock watch list" and stay in tune with daily news via television, message boards and websites.

Volume as an indicator - The momentum trader uses volume as a primary indicator. When a stock becomes popular for whatever reason, and there are more buyers than sellers, the stock price tends to rise, also increasing trading activity.

Testing resistance levels - After that, momentum traders look for a stock that is testing its resistance levels. If a stock is just making a lot of sound and fury, signifying nothing, a momentum trader will look elsewhere. Once a stock breaks a resistance level - either up or down - it comes into play for a momentum opportunity.

Technical indicators - Momentum trading seeks out technical indicators of a resistance break. Many stock trading software programs show these trend lines for you automatically. Momentum traders do not attempt to buy at bottoms and sell at the top - rather, they jump on a price trend after a stock has clearly breached a resistance point and then either sell or short the stock when they have locked in sufficient profits. The greater the volume of trades in a stock, the less probability that the price momentum will reverse and a loss will occur.

Cutting losses short and letting profits run - The chief challenge in momentum trading comes down to knowing when to cut losses. Traders really seek to eke out small profits in percentage terms on a daily basis. If a trade starts to reverse, the short time horizon of the strategy makes it so that it's more sensible to exit a position once it starts going negative in order to limit losses over the long term. Luckily, resistance breaks with high volume; so long as momentum traders gets into the trade before the saturation point, they are generally relatively safe trading plays in most markets. When there is a change in price movement, the trader needs to have a pre-established strategy that leads to a quick exit from the stock position. However, once the trend establishes in the other direction the trader can trade the stock again. Trading momentum stocks works in both directions.

Traders don’t make money-picking pairs, but rather by cutting losses short and letting profits run. And more importantly, they meet investment objectives through the judicious use of position sizing.

Conservatism is the key - Getting in and out of the trade before the saturation point arrives is a significant challenge. The saturation point is the point at which buy or sell orders start significantly to outnumber those on the opposite side of the trade. Naturally, this point can be difficult to predict, and it's somewhere between luck and art for a trader to consistently avoid being caught in a saturated price movement. Conservatism helps momentum traders to avoid this more often. It helps to have a ballpark estimate of acceptable gains and allowable losses target for every trade to prevent emotional reasoning from interfering with trading efficiency.

Trading times - Momentum traders will limit the times they trade to the first and last hour of the day trading session. This is due to the increased volatility that takes place during these two time slots. The most dangerous time zone for momentum traders is during lunch (12 - 2pm), when volume dries up and the moves are choppy to flat. Many seasoned momentum traders have learned to respect this time zone as a result of a trading blunder.

Closing out trades - All positions, even the bad ones, must be closed by the end of the day. Failing to close positions at the end of the day and allowing them to "ride" overnight can make them susceptible to many external and uncontrollable factors, including very different trading patterns the next day.

Discipline - Momentum trading is a strategy that requires an extraordinary amount of discipline. Successful traders can really only afford to pay attention to one or two stocks at once, as they need to be able to react to changes in the market with lightening rapidity. Many traders need to use margin in order to make significant profits, which magnifies the risks and increases the importance of stop-loss orders and other protective trading methods. Momentum trading falls somewhere between technical analysis trading and trend following as it relies on skills developed by both strategies.

Determining the momentum of the market

One method that momentum traders will use to tell if the market is offering nice pullbacks or when it will trade off of momentum is by checking the Average Directional Index (ADX) indicator.

Readings below 25 indicate that the market will offer nice pullbacks to initiate swing trades.

Readings above 25 indicate a strong trend - pullbacks will be shallow or nonexistent.

As long as the ADX indicator is above 25 and sloping up, the market will continue to trade off of momentum. Momentum is lost when it begins to slope down.

There is no such thing as a perfect technical indicator, but the ADX does a good job of telling the momentum trader the current strength of the trend being encountered.

Trading momentum stocks

Trading momentum stocks works for the basic reason that well-performing stocks tend to continue to outperform the rest of the stock market. Theorists argue as to whether this phenomenon is due to irrational investor behavior or whether these stocks are of better-managed companies. For the trader or investor trading momentum stocks, the theory does not matter. What matters is having an efficient system of stock market analysis for recognizing and trading stocks that seem to have momentum.

Trading momentum stocks involves generating software trade signals by following current market calculations, moving averages and channel breakouts to understand market direction. Because traders do not care what the underlying reason is for the stock price movement, they need to have a predetermined set of rules for exiting a trade if the market reverses.

High probability with low risk

When momentum trading is executed properly with a tried and tested trading plan and proper risk control, it displays a trading method that is often referred to as High probability trading .

Momentum trading can be very profitable when risk is handled properly. Stop loss orders should be highly considered to manage risk as part of a successful momentum trading plan.

Pitfalls of momentum trading

There are several situations that a momentum trader needs to aware of:

jumping into a position too soon, before a momentum move is confirmed

closing the position too late, after saturation has been reached

failing to keep eyes on the screen, missing changing trends, reversals or signs of news that take the market by surprise

keeping a position open overnight. Stocks are particularly susceptible to external factors occurring after the close of that day's trading - these factors could cause radically different prices and patterns the next day

failing to act quickly to close a bad position, thereby riding the momentum train the wrong way down the tracks

Because of these pitfalls, momentum trading is fraught with peril that can easily destroy even the most disciplined and knowledgeable trader; however, this style also offers the most potential for significant profit since there is rarely any factor inside or outside the market that drives a stock as powerfully as momentum. With a proper understanding of the technique, sufficient knowledge of the risks, and willingness to take an occasional loss, momentum trading offers an appealing choice for the aspiring trader who enjoys living on the edge.

Momentum trading is a short-term trading strategy that looks to profit from high-volume moves in a certain stock's price. So momentum traders look for breakout points in a stock price and then follow them with their trades either on the up or down side, looking to accrue profits from mass movements in stock price. Most traders close out of their positions by the end of the day, as they make extensive use of margin to finance their gains.

Momentum trading of stocks is for the intermediate or advanced trader. Momentum trading of stocks is a spur of the moment trading strategy. Utilize trading tactics to project market inertia and weigh the momentum of the trade. Remember, you need to have an understanding of the stock market before proceeding to learn momentum trading.

Online Momentum traders

Forex daily trading system review

Forex daily trading system reviewForex Daily Trading System REVIEW

July 8, 2013 by Manuel J. Lozano.

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Integral development joins russell investments to fix the4pm london fix

Integral development joins russell investments to fix the4pm london fixAdvertising

Global asset manager Russell Investments and Integral Development Corp, announced today the launch of Russell FX Network (RFX Network), a new end-to-end trading solution for the buy-side netting, execution and allocation of FX transactions.

After the revelations of the 4PM London Fixing Rate scandal, there is growing interest from participants in the FX market to change how closing rates are calculated, or find ways to verify they are not being taken advantage of by their bank brokers-traders.

RFX Network is designed to help institutional investors, including asset managers, obtain FX rates that seek to minimize tracking error with respect to the rates published by WM/Reuters. It allows buy-side firms to automate execution of complex trade lists by combining internal netting within an investor’s trading portfolio with external matching amongst the larger buy-side community.

The developers say users can benefit from advanced netting, process automation and best execution while minimizing market impact of their orders. Investors can place orders electronically into RFX or have Russell process them on their behalf. Fixing orders are matched with other investors, while any unmatched residual is executed by a trading algorithm that mimics the Fixing process to minimize tracking error.

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Jurik trading system review

Jurik trading system reviewJurik Trading System Review

The website Jurik Research as well as submitted upon which website is actually their telephone associated with 719-686-0074. He happens to be really providing associated with their period. When i discussed earlier we now have discovered absolutely no much better power in order to sleek information compared to their JMA. The actual JMA could be additionally accustomed to construct this kind of indications because RSI, MACD, Stochastic, and so on. which are a lot softer with much less lag.

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Exactly what would you industry as well as within exactly what period frame(s)? I would end up being happy to publish graphs by having an 8/21 mix. However thats a slim distribute. Additionally, just like an over-all declaration, no Jurik customers as well as Hull customers might take advantage of a glance at the actual IE/2 mum. Its not very JMA, however it may be worth assessment.

Jurik Trading System Review

The website Jurik Research as well as submitted upon which website is actually their telephone associated with 719-686-0074. He happens to be really providing associated with their period. When i discussed earlier we now have discovered absolutely no much better power in order to sleek information compared to their JMA. The actual JMA could be additionally accustomed to construct this kind of indications because RSI, MACD, Stochastic, and so on. which are a lot softer with much less lag.

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Exactly what would you industry as well as within exactly what period frame(s)? I would end up being happy to publish graphs by having an 8/21 mix. However thats a slim distribute. Additionally, just like an over-all declaration, no Jurik customers as well as Hull customers might take advantage of a glance at the actual IE/2 mum. Its not very JMA, however it may be worth assessment.

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Top20greatest strategy games

Top20greatest strategy gamesTop 20 Greatest Strategy Games

The game played on a 15×15 grid features players spelling out words for points. The game features areas with double or triple letter or word score and letters have more points if they are less commonly used. Fanatical players have actually gone as far as memorizing all the acceptable words from the Official Scrabble Players Dictionary. Be warned, if someone you dont know offers to play you for 10 cents a point as they might be able to win by many hundreds of points.

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Turtle stock trading system-proven rules of finance

Turtle stock trading system-proven rules of financeTurtle Stock Trading System - Proven Rules Of Finance

From OHM Space Corporation

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For most investors that aren't pouring over charts, reading over 10k reports and glued at their television at any hour watching CNBC for breaking earnings reports, diversification makes perfect.

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Trading strategy wikipedia

Trading strategy wikipediaTrading strategy index

This article needs attention from an expert in Finance . The specific problem is: copy edit requested, but too technical for lay person to do. WikiProject Finance (or its Portal ) may be able to help recruit an expert. (September 2012)

Strategy indices are indices that track the performance of an algorithmic trading strategy. The algorithm clearly and transparently specifies all the actions that need to be taken. The following are examples of algorithms that strategies can be based on.

1) Pairs trading strategy . This strategy examines pairs of instruments that are known to be statistically correlated. For example, consider Shell and Exxon. Both are oil stocks and are likely to move together. Knowledge of this trend creates an opportunity for profit, as on the occasions when these stocks break correlation for an instant, the trader may buy one and short sell the other at a premium.

2) Fed funds curve strategy This strategy takes a view on the shape of the curve based on the actions of the Fed. In this strategy, one puts on a steepener or flattener, based on whether the Federal Reserve has cut the benchmark rate or raised it. This is based on the conventional wisdom that the curve steepens when the rate is expected to be cut and vice versa.

3) Implied volatility against realized volatility . In a number of markets such as commodities and rates, the implied volatility, as implied by straddle prices is higher than the realized volatility of the underlying forward. One way to 'exploit' this is to sell a short expiry (e. g. 1 month) straddle and delta-hedging it until it is alive. The strategy makes money if at expiry, the sum of the premium received (and accrued at money market), the (negative) final value of the straddle and the (positive/negative) value of the forwards (entered into to delta-hedge the straddle) is greater than zero. A variation of this, and more common solution in equity, is to sell either a one-month or three-month variance swap – usually on the Eurostoxx 50E or SP500 index – that pays a positive performance if the implied volatility (strike of the swap) is above the realised volatility at expiry; in this case there is no need to delta-hedging the underlying movements.

Selling strategy indices 3D%3D" /%Edit

These indices have been sold under the following premises which need not be always true,

1. They offer a new asset class that is uncorrelated to conventional asset classes such as equities. bonds and commodities.

2. Compared to hedgefunds and mutual funds, these strategies are very transparent and the client can buy them only if they like the idea behind the strategy.

3. Some types of strategies also benefit from accounting reasons, for instance, in Germany, Notes linked to interest rates can be issued in the Schuldshein format. This enables interest rate linked strategies to be issued as Schuldsheins.

Trades that can be structured on these indices 3D%3D" /%Edit

1. Asset Side: These trades are usually structured for institutional clients looking to invest their money in a different asset class. A typical trade would involve leveraged returns on an index with a floor on the performance.

2. Liability Side: These trades are aimed at corporate clients such as mid size companies and banks which are looking for ways to service their loans. A typical trade would involve the corporate client paying Fixed – Leverage*Index Performance and receiving Libor + Spread to service their loan. More recent trades entail the client paying a fixed rate below the fair interest rate swap and receiving an index designed to replicate the Libor (e. g. MMI by Deutsche Bank) – such a saving for the client (interest rate swap – fixed rate) is due to the lower forwards implied by the index (by construction) and the client bearing any potential basis risk (difference between index and Libor).

Financial institutions that have bought these products 3D%3D" /%Edit

Several Institutional clients and mid-cap corporates have purchased products based on these strategies. Some major clients include:

Landsbanki (the now nationalized Icelandic bank)

Pension funds in Germany and Netherlands such as NAEV and Shell

Metro Lisbon

Bancaja of Spain

Financial institutions selling these products 3D%3D" /%Edit

A number of major investment banks have dedicated strategy index teams or are looking to establish one. These desks usually work under the exotic derivatives umbrella at each bank. As a result, it is difficult to establish exactly how much strategy index trading generates at each bank. Deutsche Bank is generally regarded to be the leader in this business with Barclays, RBS, Lehman (Now Nomura), Morgan Stanley, Goldman Sachs and UBS all looking to quickly establish themselves in this business. Considering that it is possible to charge up to 1.5–2.0% annually on these trades, with the usual charge being 1% running, the revenues on a typical 5-year strategy trade are 5–10 times that of a conventional exotic trade.

Disadvantages and pitfalls 3D%3D" /%Edit

Forex trading strategies wikipedia

Published April 23, 2015 by . Filed under Uncategorized . Total of no comments in the discussion.

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Does Micro-Trading Work?

First, let me define micro-trading. This is a term I use to describe trading bar intervals shorter than one day in length. For example. one could format symbol settings to intra-day then in the minutes category any number less than 390. Why 390? Because, there are 390 minutes in a normal trading day. A common number is 15. Fifteen minute bars are a popular time interval for intra-day trading.

Why intra-day trading? My testing, and the testing of others, has shown that it can be more profitable to trade intra-day bars than daily bars. There are many important market moves that happen intra-day that cant be captured with daily bars.

So, I call this type of trading micro-trading. A similar term is day trading. However, this implies closing out ones positions at the end of the trading day, and carrying no positions into the after market hours.

I used TradeStation to backtest AAPL (Apple Computer) over the period 10/27/2008 through the close of today (2/13/2009). In my previous post (Is This Market Tradeable?) I noted that there had been little price change in the SPY over this period of time, while there had been much volatility, with the market moving violently up and down within a loosely defined trading range.

The system I applied to this test I named Simple_LS_01 . Its a simple buy and go long, then sell and go short system using a moving average, that can be optimized.

The logic is: if price (close) goes above the moving average the system buys (goes long) and covers any short positions. If the close goes below the average, the system sells, and goes short. The trades are made at the market on the next bar open. Its probably the simplest system one could create, but its a good test of bar length optimization.

Because the trading day consists of 390 minutes, these minutes are evenly divisible into a number of bar lengths. For example: 195 min bars, 130 min, 78 min, 65 min, 39 min, 30 min, 26 min, 15 min, 13 min, 10 min, 6 min, 5 min, 3 min, 2 min, 1 min, and of course tick by tick data. All of these numbers divide evenly into 390.

I set my beginning date to 10/27/2008 - the beginning of the current trading range market.

I assumed a $5,000 position in AAPL on each trade.

Lets first look at a simple buy and hold strategy. A buy of AAPL on the morning of 10/27/2008 would have resulted in the purchase of 52 shares at 95.20. AAPL hit 112.19 on 10/30. The maximum intraday drawdown occurred when AAPL printed a low of 78.20 on 1/20. This was a drop of -33.99 points from the high, times 52 shares for a total of $-1,767.48 or -35.3% on the initial $5,000 investment.

The ratio between the maximum gain and maximum drawdown (ignoring negative sign) is 16.99/33.99 or .50, or 50%. I would consider this a poor reward/risk ratio. AAPL closed today at 99.12. So, that position gained +4.1% to date.

For each intra-day bar period I optimized for the moving average that produced the best gain and lowest drawdown .

I adjusted each test so that the first trade occurred on 10/27/2008. If you are using TradeStation to test and you want to make sure all the tests are comparable, you have to adjust the maximum number of bars study will reference and the date range, so that the first trade occurs on 10/27/2008, or whichever date you want to begin with. This post is a revision of one I published earlier today, and now includes this adjustment.

The best results were obtained with bar lengths that varied between 39 minutes and 5 minutes. The 39 minute bars made $2615 profit with a $-1003 drawdown, for a Net Profit/MaxDrawdown ratio of 260.7%. 40 trades occurred and 35% of them were profitable.

The 10 minute bars made $2674 profit with a $-640 drawdown, for a Net Profit/MaxDrawdown ratio of 418.1%. However, this system generated 70 trades and only 23% of them were profitable.

Profits were below $2000 on bar lengths above 39 minutes and below 5 minutes.

If one is thinking of micro-trading and using short duration bars, such as 1 ,2 3 min or tick bars, a very common practice, make sure to test this bar length first. Dont assume a short bar length will be more profitable than a longer bar length!

Also, the shorter the bar length the more bars in a day, and the more ones computer resources are taxed. Short bar lengths take longer to optimize and generate a huge number of trades, particularly if one is trading a number of stocks. This generates a lot of accounting aggravation at tax time.

Of course, this test was only on one stock and over a choppy market environment. Any system should be tested over different market time periods on a basket of stocks, and a simple system like this one is just a starting point for any serious system trader.

However, it does demonstrate a basic idea of system testing: start with an idea, in this case micro-trading, then find out what does and doesnt work, and begin to eliminate the failed strategies, and keep the successful strategies. Its similar to natural selection although this is tested selection.

If you keep testing ideas, youll gradually develop better and better systems, and hopefully, will improve your profits, and minimize your losses.

One additional note: I dont just optimize systems for the highest profit - I look for the max profit as a percentage of the max drawdown, because I want to maximize profits and minimize losses. Remember, controlling drawdown and losses is critical if you want to become a successful trader.

Share and Enjoy:

Kathy Lien is an Internationally Published Author and Managing Director of BK Asset Management. Her trading books include the following:

As Managing Director of BK Asset Management, Kathy is responsible for portfolio management, research and analysis. She also runs an FX Signal Service BKForex Advisor. with Boris Schlossberg – one of the few investment advisory letters focusing strictly on the 3 Trillion/day FX market.

Kathy is a “Trader First, Analyst Second.” Her career started at JPMorgan Chase where she worked on the interbank FX trading desk making markets in foreign exchange and later in the cross markets proprietary trading group where she traded FX spot, options, interest rate derivatives, bonds, equities, and futures. In 2003, Kathy joined FXCM and started DailyFX, a leading online foreign exchange research portal. As Chief Strategist, she managed a team of analysts dedicated to providing research and commentary on the foreign exchange market. In 2008, Kathy joined Global Futures & Forex Ltd as Director of Currency Research where she provided research and analysis to clients and managed a global foreign exchange analysis team. She has taught seminars around the world on day and swing trading the currency market.

Kathy is also one of the authors of Investopedia’s Forex Education section and has written for Tradingmarkets, the Asia Times Online, Stocks Commodities Magazine, MarketWatch, ActiveTrader Magazine, Currency Trader, Futures Magazine and SFO. She is frequently quoted by Bloomberg, Reuters, the Wall street Journal, and the International Herald Tribune and has appeared on CNN, CNBC, CBS and Bloomberg Radio. She has also been on a few episodes of Wall Street Warriors, hosted trader chats on EliteTrader, eSignal and FXStreet, sharing her expertise in both technical and fundamental analysis.

Kathy’s extensive experience in developing trading strategies using cross markets analysis and her edge in predicting economic surprises serve key components of BK’s trading and money management techniques.

Many people have asked how Kathy has managed to achieve so much at such a young age, but if you consider that she graduated New York University’s Stern School of Business at the age of 18 in 1999, she actually has a wealth of experience.

Kathy and Boris:

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Online Trading strategy wikipedia

Is there alimit on how many trades ican make per week

Is there alimit on how many trades ican make per weekIs there a limit on how many trades I can make per week?

Hello Everyone,

I am a Newbie. I have been learning about the stock market and trading for a long time now, plus I have been paper trading over the past several months. Now I am almost ready to open an online broker account so I can start trading.

Since I want to ‘swing trade’, I have been hearing many conflicting stories about this issue, so I would like to try to get some clarification from you seasoned traders out there.

Mainly, I want to buy carefully researched stocks (that I feel will go up in value in the next several days of my buying it) and then sell it once it goes up in value. I plan to have a ‘stop’ of some kind in place at the time that I buy the stock, so that the 'stop' will trigger the stock to be sold. Ideally, I would like to buy and sell 2 to 3 stocks per week (i. e. 4 to 6 trades per week or 2 or 3 buys AND 2 or 3 sells). However what I have been told is that each buy will constitute one trade, each sell will constitute one sell, but a trader can only do no more than 3 trades per week, otherwise they will get flagged as a patterned day trader. However by law, in order to be a day trader, one must have at least $25,000 in a broker account at all times, otherwise they will be banned from making trades. Is this all true?

Now with that being said, upon learning more about Margin Accounts, I do not plan to use or borrow any money to make my trades and nor will I be using a Margin Account. I will solely be making basic ‘buy’ and ‘sell’ (with a stop in place on each one) trades (nothing more complicated than that), yet I do not understand if I am trading with my own money and not borrowing any money from anyone, why is it that I can not make as many trades (buys and sells) that I want each week?

I would appreciate any answers from you seasoned traders out there. Thank you in advance.

Online Is there alimit on how many trades ican make per week

Forex tv

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Although Forex TV has a great deal of educational material that can be used by beginners, the website’s sheer amount of material is an ideal destination for more experienced traders.

This is a great website that displays every detail of the forex market. It not only has a sizable amount of text, charts and graphs but it also has a great collection of videos that range from the educational to the informative.

Online Forex tv

Forex trading signals&strategies explained

Forex trading signals&strategies explainedFind a broker

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"FxPulp" is owned by (Pulp International Business Ltd), a Financial Services Company authorized and regulated by the CySEC under license no. 095/08.

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SuperTradingOnline may appear to be new to the online trading world, but that isn't entirely the case! SuperTradingOnline (STO) is the new brand name for the CFD trading division of AFX Capital Markets Ltd, which was set up in 2010 and has been offering CFD and FX trading services to thousands of satisfied clients worldwide up until the launch of STO in March 2013.

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Online Forex trading signals&strategies explained

Price action trading and strategies

Price action trading and strategiesPrice Action Trading And Strategies

Price action trading is analyzing the movements of the price to make a trading decision. It fall under the category of technical analysis. Price action trading is focused on the relation of an instrument’s current price to its past prices. In another words price action is everything that a security’s price does. Price action is simply observing how prices fluctuate. It is clearly seen in the markets having high liquidity and price volatility. A price action trader normally uses clean chart without any fancy indicators. This does not mean that price action traders will not use any technical indicators, they use indicators less frequently. All the financial instruments generate information and are displayed on the price charts. Beliefs and actions of all participants trading in the market during a given period of time are printed on a market‘s price chart in the form of price action.

Price action trader believes that it is not necessary to analyze all the economic data and global news to trade the market profitably since all those factors are factored on a security’s price. Price discounts everything. It means price movements will provide you all the information needed to develop a profitable trading system. Price action trading includes recent price movements, technical analysis tools like charts, support /resistance. swing high/swing low, trend lines etc. The most commonly used tools in price actions trading can be break-outs. trend-lines, advanced combinations involving candlesticks, volatility, channels etc. Two traders will never have the same interpretation of the price action. It depends on the trader what tools to use for developing price action trading systems. Some of the simple price action methods (strategies) are discussed in the rest of this article.

Buy Low Sell High

This is a trend following strategy. This is the most common and simple price action trading method. Its implementation with proper discipline, this method can be very rewarding. However many traders fail to maintain self discipline and they blame the system (strategy). This strategy is very simple and powerful yet it is underestimated. Now let’s discuss about this simple price action strategy with real time charts.

The concept of this strategy is really easy and simple. This method is based on the philosophy that –‘Trend is your friend.’ We will be looking daily charts for knowing the direction of major trend of the market. Once the direction of the trend is established on the charts we will be looking for the entries in the lower time frames to finely tune the entry. This example can be illustrated with the real time EUR/USD chart below.

In the above chart we can clearly see that the EUR/USD is down trending on daily chart. So we will be looking for sell signal and we will use lower time frames i. e. hourly and 4 hour chart to finely tune our entry level. In a falling market lower lows and lower highs are formed. The main idea of this strategy is to buy low and sell high. So in a down trending market we will be selling at lower highs. In above EUR/USD down trend market we can see that the market is forming lower lows and lower highs. When focusing to the recent price action on the above chart we can see market is probably forming another lower high so our plan is to sell the pair. Let’s see 4 hour chart during that time.

While we analyze the 4 hour chart we realized that the pair is falling so we would wait for the pullback and enter in the market. After waiting for certain time we would sell the pair on another peak. In this example our short position would be a hugely successful trade.

No doubt price action trading is trading on a naked chart without any colorful indicators. But using some few moving averages to figure out potential support and resistance level is not a bad idea at all. EMA 20 is an effective tool for the entry confirmation in a trending market. The idea is finding out the major direction of the trend like we did in our previous strategy and opening position in the market when the EMA 20 and the price cross each other.

Trading In Sideways Market

When the market condition changes our strategy should also be changed. The methods we use to trade in trending market may not be useful to trade in sideways market. But there are really simple methods to trade in all market conditions. Given below is an example of the sideways market of USD/CAD. It is a 4 hour chart.

In the ranging market we set the high and low price of the range by two horizontal lines like shown in the above figure. In a sideways market price usually bounce between these two horizontal lines. The main idea of this strategy is to go long when the price touches the support level (i. e. down horizontal line) and to go short when the price touches the resistance level of the range (i. e. upper line of the range). This is the most simple and the most effective way of trading in a flat market.

Trading the ABCD Pattern

This is another simple approach to price action trading. This pattern doesn’t often occur in the real time market but when it occurs it is most likely to work. In a ABCD pattern there are three waves among them two of them are impulsive in nature while one of them is corrective. As shown in the figure below BC usually retraces 61.8% or 78.6% of the wave AB. Wave CD extends 127% or 161.8% of the wave BC. Time taken to form wave AB should be nearly equal to the time taken to form CD wave. Idea of this method is to enter in the direction in which the corrective wave is heading or against the impulsive wave. In the figure below, on the left side we have a bullish ABCD pattern that is we will be looking for long opportunities when we see such bullish ABCD pattern. Wave BC is corrective in nature whilst Wave AB and CD are impulsive. So our trade will be in the direction of BC. The case is exactly the opposite for the bearish ABCD pattern.

Now let’s have a look at the ABCD pattern in real life market.

Above is a EURJPY four hour chart. Presented example of ABCD pattern is not a perfect one though and perfect pattern rarely exist. Deviation to some extent is considerable.

Trading Triangle Break Out

Another simple and effective way to trade is triangle break outs. When price squeezes triangles are formed. Triangles can be obtained in charts simply by drawing the trend lines as shown in the figure below. Idea is to enter in the direction in which the break out occurs. Usually the probability of winning is high when the break out occurs in the major direction of the trend.

Trading the Channel

When the price moves in a particular direction within two parallel lines the channel is formed. Channel can be up, down and sideways. The idea of trading the channel is simple. When the price touches the upper trend line we look to sell the pair and when the price touches the down trend line we look to long the pair. When the channel is broken in a particular direction it may indicate the trend change.

In the above NZD/USD weekly chart we can see that the channel is working beautifully. If we had bought and sold following the rules of the channel we would have nice gains. We can also see that the channel is broken to downside and price moved pretty lower after breaking the channel. So channeling is simple and effective way of trading price action.

Trading with Andrew’s Pitchfork

Andrew’s pitch fork consists of three parallel lines. This tool can be used to detect profitable opportunities and swing opportunities in the market. On the broader term view it can be used to identify and analyze the over all cycle of the market. The two (upper and lower) lines acts as a support and resistance levels and the mid line can serve as both support and resistance level. It is believed that market price action is likely to gravitate towards the median line 80% of the time. In order to apply Andrew’s pitchfork effectively a trader must first identify a high or low that has recently occurred on the chart. The first pivot will be drawn at peak or trough and is labeled as point A. Once the point has been figured out, trader must identify both a peak and a trough to the right side of the first pivot. Once these three pivots are set the trading platform will automatically draw Andrew’s pitchfork for you. The pitchfork will look like this:

Above is the perfect example of Andrew’s pitchfork. Notice how the price gravitated towards the midlines and how price respected the lower trend line. Lower trend line would work as support level while the upper trend line would work as resistance level. Generally we will be looking to long the pair when the price touches the lower trend line and vice versa. This is a great tool to use.

So these are the some of the trading strategies using trend lines and price actions. We don’t need fancy indicators to trade profitably in the market. Keep it simple. Self discipline is the key. These simple lines are enough to make a profitable trading life.

Price Action Trading And Strategies Video Tutorial

Online Price action trading and strategies

Forex scandal

Forex scandalForex scandal

The forex scandal (also known as the forex probe ) is a financial scandal that involves the revelation, and subsequent investigation, that banks colluded for at least a decade to manipulate exchange rates for their own financial gain. Market regulators in Asia, Switzerland, the United Kingdom, and the United States began to investigate the $5.3 trillion-a-day foreign exchange market (forex) after Bloomberg News reported in June 2013 that currency dealers said they had been front-running client orders and rigging the foreign exchange benchmark WM/Reuters rates by colluding with counterparts and pushing through trades before and during the 60-second windows when the benchmark rates are set. The behavior occurred daily in the spot foreign-exchange market and went on for at least a decade according to currency traders. [ 3 ]


At the center of the investigation are the transcripts of electronic chatrooms in which senior currency traders discussed with their competitors at other banks the types and volume of the trades they planned to place. The electronic chatrooms had names such as "The Cartel", "The Bandits’ Club", "One Team, One Dream" and "The Mafia". [ 4 ] [ 5 ] [ 6 ] The discussions in the chatrooms were interspersed with jokes about manipulating the forex market and repeated references to alcohol, drugs, and women. [ 7 ] Regulators are particularly focusing in on one small exclusive chatroom which was variously called the The Cartel or The Mafia. The chatroom was used by some of the most influential traders in London and membership in the chatroom was highly sought after. Among The Cartel's members were Richard Usher, a former Royal Bank of Scotland (RBS) senior trader who went to JPMorgan as head of spot foreign exchange trading in 2010, Rohan Ramchandani, Citigroup ’s head of European spot trading, Matt Gardiner, who joined Standard Chartered after working at UBS and Barclays. and Chris Ashton, head of voice spot trading at Barclays. Two of these senior traders, Richard Usher and Rohan Ramchandani, are members of the 13-member Bank of England Joint Standing Committee's chief dealers group. [ 8 ]

At least 15 banks including Barclays, HSBC. and Goldman Sachs disclosed investigations by regulators. Barclays, Citigroup, and JPMorgan Chase all suspended or placed on leave senior currency traders. Deutsche Bank. continental Europe’s largest lender, was also cooperating with requests for information from regulators. [ 8 ] [ 9 ] Barclays, Citigroup, Deutsche Bank, HSBC, JPMorgan Chase, Lloyds. RBS, Standard Chartered, UBS and the Bank of England as of June 2014 had suspended, placed on leave, or fired some 40 forex employees. [ 6 ] [ 10 ] [ 11 ] [ 12 ] Citigroup had also fired its head of European spot foreign exchange trading, Rohan Ramchandani. [ 13 ] Reuters reported hundreds of traders around the world could be implicated in the scandal. [ 14 ]

The monetary losses caused by manipulation of the forex market has been estimated to represent $11.5 billions-a-year for Britain’s 20.7 million pension holders alone (?7.5B/year). [ 15 ] [ not in citation given ] The manipulations affected customers all around the world, for over a decade. The manipulations' overall estimated cost is not yet fully known.

Online Forex scandal

Trading strategies cfd

Trading strategies cfdTrading is an experience that can last a lifetime. Contracts for difference, or CFDs, offer traders significant advantages and access to a broad array of markets that would otherwise be off-limit to them. The popular concept of buying low and selling high seems simple, but successful trading is more difficult than this. This is a complete CFD trading guide to teach CFDs to beginners and more advanced traders.

CFD Trading Basics

Find out where CFDs came from and how they developed into the popular financial instrument they are today. Also see where CFDs are permitted and the types of CFDs that one can trade.

What is a CFD?

This page explains what a contract for difference is and described particular points that beginners need to understand before trading CFDs.

CFD Trading Basics

While buying low and selling high may seem simple, theres more to understand about trading CFDs. See detailed examples of CFD trades using various underlying assets.

Types of CFDs

One of the chief advantages of the CFD market is the global trading opportunities they offer. See the types of CFDs one can trade.

Basic CFD Order Types

Before trading CFDs, a trader needs to know the order types allowed. See an overview with a description of some basic order types. Afterwards, read detailed descriptions of 2 basic order types with examples.

Stop Loss Order

Limit Order

CFDs vs. Shares

Read the difference between trading CFDs and shares. Although single share CFDs appear close to share trading, there are important differences to note.

Share CFDs Dividends

Learn how single share CFD trading works and how corporate actions work in the context of single share CFDs.

CFD vs. Options

Read about the differences between these two assets. While they may appear closely related, CFDs are favored by many traders due to several advantages they offer over options.

CFD vs. Spread Betting

Both are popular investments, especially in the UK. Read about their differences and the advantages and disadvantages of each.

CFD vs. Futures

Both are a form of financial derivatives. Understand how they differ from one another.

Bitcoin CFDs

Bitcoin is one of the most exciting currencies in the news. Read about Bitcoin CFD trading.

Costs of CFD Trading

Before trading one needs to know what charges to expect. This article goes over charges and fees most brokers charge.

How are CFDs Priced?

This article covers how the pricing of CFDs works and what to expect when purchasing a CFD.

Who Trades CFDs?

The groups who trade CFDs may surprise you. Find out who trades CFDs and why.

Head and Shoulders Pattern Explained: Part I

Learn how to identify the different types of head and shoulders patterns.

Qualities of a Great Trader

What makes a CFD trader great? Successful traders have a few common characteristics. Find out what those traits are.

Creating a Trading Plan

Having a trading plan is important for any financial instrument. Learn the steps and importance of stepping into CFD trading prepared.

FAQs for US Residents

The United States does not allow CFD trading. This page provides answer to some common questions US citizens ask about CFDs.

CFD Trading Strategies

Contracts for difference have revolutionized the world of online trading in an extremely short period of time. Successfully replacing traditional shares exchanges with a unique way of trading, CFD trading allows each investor to maintain a purchase of an underlying asset with less expenditure than this trader would achieve, working with traditional stockbrokers. In fact, what is important in CFDs online trading – is to choose the most reputable interactive brokers. Below you can find 4 of the top CFD trading strategies available to traders:

Trading Support and Resistance with CFDs

Notice: most financial securities tend to change their direction, going up or down in a specific period of time. Taking into account this fluctuation, you should consider that online trading with CFDs can be beneficial. Support and resistance levels are created when either supply or demand becomes predominant in the market.

Use the CFDs online trading strategies that apply limits of the support and resistance levels:

Determine whether the market goes sideways: look at charts, use indicators.

Check stock’s sector; consider a specific stock you are interested in.

Make sure, that previous trend is finished: analyze the time scale.

Check how many times a specific price has visited the level and turned back—make sure of the validity and strength of the support and resistance levels.

It is beneficial to buy a long CFD position in the stock when the price is approaching support.

A short position is preferable when the price is going up to resistance.

Momentum Trading Trend

Consider one of the most popular trend strategies—the Momentum Trading.

By buying a momentum—buyers push the price up.

Momentum is over when the price fails to make a new high position.

Buy the stock, considering uptrend signal (when the price closes higher than its moving average) and close your online trading when the price closes below the determined position.

Choose 3-15 moving averages: check the overlap of two—buy the faster and shorter one.

Pairs Trading with CFDs

Trading pairs deal with trading on a long and short position in the same time in two related stocks, commodities, indices or currencies. Below is an example of pairs trading using stocks:

Identify two potentially strong stocks that correlate, but have moved away from their usual relationship. Buy one—short the other, benefitting from their variation.

Choose interrelated pairs of the same sector: Buy Pepsi-Cola, Sell Coca-Cola.

By the stock of a strong company—sell the stock of the weak company.

Choose sectors smart: consider their weight in the market. For instance, you can focus on the health care sector versus the materials sector if you believe that health sector will be undervalued.

Short Selling and Shorting

Short selling is a way of trading with CFDs that helps you to benefit from a decline in a shares price.

Borrow shares you would like to short.

Sell the shares on the stock market at the market price.

Re-buy the shares, speculating on the lowered price and return them to the person you have borrowed from.

CFD Trading Strategies

A CFD is a contract between two parties, where the payment is the difference between the price of an underlying asset when the contract is opened and when it is closed. The underlying asset can be anything, from a commodity, to an equity, index or even an interest rate.

CFDs give investors the opportunity to be active in the market place, without requiring ownership of an asset because they are traded on margin. A percentage of the total amount of the contract is deposited with the broker. This leverage allows traders to increase their returns and losses. Because of the use of margin, CFDs are characterized as speculative investments. The required margin depends on the CFD provider, but is often between ten and thirty per cent.

As no end date is stipulated in the contract, CFDs remain open as long as the party would like. This gives investors increased control, but can also be risky as markets can be volatile and losses can increase quickly.

Beyond the regular long/short position used for speculation. CFDs are often used to:

Hedge – CFDs are a relatively inexpensive way to hedge a portfolio

Tax planning – CFDs are not subject to the UK stamp tax. Tax laws in other regions may vary.

Dividends – if you own a CFD equity on the day it goes ex-dividend, you are entitled to the dividend. That being said, if you are the seller of the contract, you must pay out the dividend.

Risk warning: Spreadbetting, CFD trading and Forex are leveraged. This means they can result in losses exceeding your original deposit. Ensure you understand the risks, seek independent financial advice if necessary. The value of shares and the income from them may go down as well as up. Nothing on this website constitutes a solicitation or recommendation to enter into any security or investment.

Online Trading strategies cfd

Online trading academy class schedule best binary options brokers2015

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Corporate training

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Corporate Training has been changed the entire industry and moved rapidly across the globe. In order to face the challenges of competitiveness, to manage the quality standards and to challenge the changes of IT industry, organization need to be update and upgrade to survive in the market. To save the financial conditions in this recession, Online Training will be the best option that can save manpower salaries and time.

We help the organization with expert team by assisting 24X7. We offer the best Microstrategy Corporate Training in the industry with project support. We support your project by completing the task on your behalf maintaining the client requirements.

Employees of any organization will be dealt with our expert team to deliver the best standard of Microstrategy Corporate Training with real time exposure. Our Trainer explains the real time scenarios with real time examples to give you complete satisfaction of learning.

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Trading strategies using vwap-best auto traders reviewed

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Bollinger bands trading strategybollinger bands

Bollinger bands trading strategybollinger bandsBollinger Bands Trading Strategy

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bollinger bands trading strategy

With more than 50,000 copies sold, Alan Farley’s The Master Swing Trader has become the definitive guide for maximizing profit from short-term price moves. Now in his highly anticipated companion volume, The Master Swing Trader Toolkit: The Market Survival Guide, Farley builds on his proven strategies and techniques and delivers new tips for consistently beating the markets — today and in the future.

The Master Swing Trader Toolkit is a powerful application-oriented handbook that shows you how to identify and grow wealth from the opportunities resulting from the steep market crash. Additionally, this full-service volume offers prescriptions for prospering in the postcrash environment and provides guidance for finding new, reduced-risk market prospects during virtually any economic scenario to come.

The author’s trading style has evolved since the publication of The Master Swing Trader. This follow-up companion helps you adapt and gain an edge as the author has, specifically in the vein of “defensive trading,” to achieve profitability in the modern electronic markets.

Because The Master Swing Trader Toolkit is a survival guide for the real world, Farley presents an abundance of authentic case studies to show his defensive trading strategies in action, and he illustrates a broad variety of other patterns and observations acting in specific market scenarios.

The Master Swing Trader Toolkit prepares you for success in the financial landscape of today and tomorrow with insightful, up-todate coverage on:

Cross-market analysis

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Relative strength

Managing multiple positions

Remote trading

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At its core, The Master Swing Trader Toolkit: The Market Survival Guide is a book about tape reading. The ticker tape is immune from manipulation, deconstruction, regulation, and fragmentation, which makes it the most powerful tool for attaining wealth. Get the most out of what you read by starting with The Master Swing Trader Toolkit.

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Table of contents(click ahead!)

Table of contents(click ahead!)Read the rest of the Investopedia:

It contains a wide variety of educational tools that you need in order to establish your trading knowledge. It consists of clear, precise and useful information about the investment and finance sector. They are not only focusing on trends of investment or stock market headlines but instead they provide easy to understand the definitions of the terminology of the market that the novice or average investor can understand.

The sections such as Dictionary, Articles, Tutorials, Stock Simulator and Ask Us provide advanced information for free. You can download some of the articles in PDF format. Just register using free registration and you can read them at your own leisure time. This site is recommendable to everyone who are learning Finance, Stock markets or foreign currency without spending your money and time.

Dictionary – Most of the people visiting Investopedia really love their Dictioanry Section. It defines more than 6,000 finance and investment term in all categories. You can search the terms by alphabet, keywords or by using the 27 categories.

Articles – This section has more than 2, 500 Articles. The number of the articles is not a joke. It has many articles that provide all you need to know from Stocks, Forex, Active Trading and many more. The articles are searchable by alphabet, keywords and categories.

Tutorials – It can be viewed according to investment level and style, including Beginners, Experienced Investors, Personal Finance, Economics, Active Trading, Retirement, Retirement and etc. Tutorials are lengthy and in-depth, explaining all the things that related to the lessons. Every Tutorial Sections have hyperlinks that will lead you to its definition.

Exam Prep – Investopedia provides exam which featured Chartered Financial Analyst (CFA®) Program. If you are successful to complete all three CFA certification exams, in addition to other requirements, you will be granted the right to use CFA trademark,

Forex – A new section that provides several news related to Forex.

Markets – This is also a new section along with the Forex section. It provides news and information that is all related to market.

Stock Simulator – You have to create an account in order to use their simulator. Using their simulator you can create your own portfolio.

Free Tools – By filling out the form on the various pages you will receive everything from free CD-ROMs, Books, Home Study Courses, Software, and even Trade Recommendations.

Ask Us – It’s also one of the best sections where you can be able to ask. Someone will answer your question and you can view this answer related to you question.

Read the rest of the Yahoo Finance:

At the left side of the site are also the same categories you click on the tab. But as you see, there are many sub-categories to choose also. You can view the news for today providing the date or you can even read the news yesterday or the news the other day around. The news will be displayed according to categories and sub-categories you choose. You can click the news you want to read.

The great thing about the Yahoo Finance is the wide variety of the news. It is not a mystery anymore because it is own by Yahoo. Just by looking at the left side of the site you can choose what news to be displayed. Aside from that, it also shows the Sectors. There is also the Providers. The Providers supplies news for Yahoo Finance. Example, if you click Bloomberg, you will see the news that the Bloomberg provides. At the right side there is a search tab where it can be easy for you to search for the news.

The news in Yahoo Finance is simply organized so that it will not be difficult for the visitors to select the news they want to read.

Read the rest of the eSignal:

Being considered as an impressive professional charting and analysis platform for several financial markets including Futures, stocks and most importantly foreign exchange trading have shown great potential in providing traders the edge needed in order to succeed in the aggressive and viable trading industry.

• Multicharts MCFX, the dedicated Forex trading platform ensures simplicity of use without compromising outstanding capabilities within a price that is totally affordable if you would compare it with all the benefits and possibilities that a trader can make use of to achieve success in currency trading and other financial markets.

• Trading strategies easily created by means of applying the capabilities of the 80 built-in trading signals. Traders with no knowledge about programming will surely appreciate this advantage.

• Ability to figure out and identify the possible outcome of your trading strategies. This means you may get the chance to know what could have been your average profitable and losing trade, how many your consecutive winning and losing trades would have been as well as average time in trades. This would help you to better plan for your strategies through proper evaluation. These performance reports can be done easily through MultiCharts built-in features.

• Real time market scanners provide the overall image of the condition of the market. It is like a global snapshot of the market with the possibility to classify and group data according to the value of indicators.

With all features that have been mentioned and the remaining others that were not mentioned in this MultiCharts review, it is pretty obvious to confirm that this charting platform is easy to use, sufficiently powerful and reliable.

For all types of traders, it is of outmost importance to make use of the right type of trading platform because this would give you the advantage to succeed in the competitive nature of the present markets.

Multicharts capability to provide the best advantage to individual investors and professional traders is founded on the platform’s goal of creating strong trading strategies, precise and real-time market data with the chance to order execution within just a bat of the eyelash and most importantly affordable transaction fees. With all of the impressive and promising features of MultiCharts, successful trading experience is not impossible to achieve.

Product Details

• Real-time market scanning capability

• All embracing range of chart types and gaps

• Load state gauge

• Symbol and interval linking

• Always optimized for the most updated and fastest processors

Courses Offered

Every class at Online Trading Academy comes with an important bonus: membership in a family of dedicated and passionate traders and expert instructors which extends around the world.

Their on-location courses are geared toward individual investors or traders, novice or experienced, who want to learn how to use the same tools and professional trading techniques as the professional traders on Wall Street. Find out more about their on-location classes including:

• STOCKS: Find opportunities in the vast equities market, and trade like the pros with a transparent view of the marketplace.

• FOREX (Currencies): Trade in the world’s largest market with up to 50:1 leverage. Trade on your own schedule with markets open 24 hours a day, about 6 days a week.

• OPTIONS: Learn how to control a stock for a fraction of its per-share price without ever owning it.

• FUTURES: Buy and sell index funds contracts that may predict the future performance of stock indices or commodities. Sector investing at its best with the potential of 40:1 leverage.

• WEALTH MANAGEMENT: Find a balance in your portfolio that gives you maximum control with a minimum time commitment. Your quality of life, your retirement and your family’s future depends on it.

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• SPECIALTY COURSES: You’ve built a solid foundation of trading knowledge through training and real-life experience. Now it’s time to fine-tune your skills. Get professional guidance to make good trading practices even better.

They also offer free learning resources from magazines, radio blogs, etc. They have also developed a series of home-study CDs, which can be used on their own or in conjunction with their courses.

Every class at Online Trading Academy comes with an important bonus: membership in a family of dedicated and passionate traders and expert instructors which extends around the world.

The Student Resource Center is another exclusive benefit of Online Trading Academy, providing students and graduates with valuable resources to help you become a successful trader. New features are being added all the time.

Online Trading Academy offer free workshop to everyone.

Picture of The Website

Online Table of contents(click ahead!)

Forex broker comparisons

Forex broker comparisonsFXCM Forex Broker

Thu 18 October, 2012 admin

Our size and financial strength means better execution for our clients. Because the Forex market is an over-the-counter market with no centralized exchange, not everyone receives access to the same prices or quality of execution. The worlds largest banks tend to provide better prices and execution to institutions with the largest trade volume and the most solid financials. An average of over $350,000,000,000 ($350 billion) in notional volume per month is traded via FXCMs trading platform, and FXCM is one of the most well-capitalized Forex Dealer Members. FXCM is one of the oldest and largest capitalized retail online Forex brokers. As a result, FXCM has built strong execution relationships with many of the worlds largest international banks. FXCM receives and is able to pass on the benefits of size, better prices, and better execution to our clients.








Traders receive competitive bid/ask prices provided to FXCM by multiple global banks.

Trade news events with NO restrictions on order placement.

Scalp the market with NO restrictions on order placement.

Automated Trading Signals for Multiple Currency Pairs Live Entry/Exit Prices Fast and Reliable Stops Limits Short-term Medium-term time frames ___________________ Hard and fast analysis when the news is breaking! 6 updates a day with analysis from the DailyFX research team! Alerts for hot technical formations updated 8 times a day! Tools signals for short and medium - term traders! No more outdated Commitment of Traders (COT) Data Tracks the positions of thousands of traders As of January 2008, there is in excess of $700 million in customer funds trading on platforms offered by FXCM. Over 100,000 live accounts trade through FXCMs trading platforms from nearly 200 countries, with an average of 4,000,000 trades executed each month via its trading platforms; moreover, customer support is provided in over a dozen languages. Registered with the CFTC as a Futures Commission Merchant, FXCM has received numerous awards from the investment community, including Best Currency Broker from Shares, Best Retail Foreign Exchange Platform from FX Week and Best Foreign Exchange Specialist from Technical Analysis of Stocks Commodities. In addition to currency trading, FXCM offers educational courses on forex trading, and provides research through DailyFX.

Online Forex broker comparisons

Read what traders are saying about short term trading strategies that work

Read what traders are saying about short term trading strategies that workRead What Traders Are Saying About Short Term Trading Strategies That Work

December 6, 2008 By David Penn

Hear what professional traders and money managers are saying about Larry Connorsa€™ latest book, Short Term Trading Strategies That Work :

a€¦ an insightful handbook of practical, useful and timely methods a€¦ Tony Saliba, CEO of BNY ConvergEx LiquidPoint; Profiled in Market Wizards

a€¦ this is what professional trading is all about a€¦ Kevin Haggerty, professional trader and former head of Fidelity Capital Markets

a€¦ I have already improved my methods to become better at what I do a€¦ Michael Kahn, CMT, Columnist for Barrons Online . Editor, Quick Takes Pro newsletter

Larry Connorsa€™ latest book is more than just a collection of trading set-ups a€ though there are plenty of those, as well. Short Term Trading Strategies That Work puts short term trading in the larger context of professional-caliber, quantitative analysis of the stock and ETF markets, and presents trading techniques and methods that have been thoroughly backtested in millions of simulated trades.

These are the sort of high win-rate, low drawdown short term trading strategies that Larry and his team at Connors Research are famous for. The trading methods shown in Short Term Trading Strategies That Work are just what retail traders need most right now as volatility and single-stock risk become even more daunting challenges for traders of all styles and backgrounds.

From his six rules for successful short term trading to winning techniques for trading exchange-traded funds, Short Term Trading Strategies That Work is a perfect follow-up to Larry Connorsa€™ previous book, How Markets Really Work . Having debunked many of the most enduring myths and misconceptions when it comes to short term trading in How Markets Really Work . Larrya€™s new book, Short Term Trading Strategies That Work provides traders with a quantified and systematic approach to making money even in some of the most difficult market conditions.

If you want to take your stock and ETF trading to another level, then this might be the opportunity you have been looking for. Click here now to find out how to order your copy of Short Term Trading Strategies That Work today!

Online Read what traders are saying about short term trading strategies that work

What is swing trading boot camp

What is swing trading boot campWhat is swing trading boot camp?

SWING TRADING BOOT CAMP is an intense, interactive, NO B. S. Swing Trading Course that will teach you EXACTLY what you need to know to become a successful short term trader!

Our flagship BASIC TRAINING Boot Camp is designed for beginning or struggling Swing Traders and active investors.

This BASIC TRAINING course teaches you all of the essential elements needed to lay a solid foundation for your Swing Trading career.

In our BASIC TRAINING Boot Camp you will learn:

How to develop a Swing Trading Battle Plan based on your trading personality and beliefs

How to locate the best Swing Trading opportunities in individual stocks and ETFs (Leveraged and Non Leveraged)

Swing Trading Strategies for Inverse ETFs (Our List of Inverse ETFs is HERE )

Learn Swing Trading Strategies and Technical Analysis tactics

How to use the Best Swing Indicators and Oscillators (RSI, ATR, ADX and more)

Effective Risk management techniques to protect your trading capital

Proper Position Sizing strategies to help you reach your trading goals

How and When to EXIT your Swing Trades for maximum profit

How and Why you should keep a Swing Trading Journal

Plus much more!

We also offer ADVANCED SWING TRAINING courses as well as several other individual Swing Trading Strategy classes.

These classes are geared more towards traders and investors that already have a solid understanding of the Swing Trading BASICS and now want to explore different strategies and techniques to help them become a more successful trader.

No matter what your level of trading experience or success, SWING TRADING BOOT CAMP can help you become a BETTER TRADER TODAY !

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