Futures options trading

Futures options tradingMarket Strategies

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Futures Options Writing

Have you ever wondered who sells the futures options that most people buy? These people are known as the option writers/sellers. Their sole objective is to collect the premium paid by the option buyer. Option writing can also be used for hedging purposes and reducing risk. An option writer has the exact opposite to gain as the option buyer. The writer has unlimited risk and a limited profit potential, which is the premium of the option minus commissions. When writing naked futures options your risk is unlimited, without the use of stops. This is why we recommend exiting positions once a market trades through an area you perceived as strong support or resistance. So why would anyone want to write an option? Here are a few reasons:

Most futures options expire worthless and out of the money. Therefore, the option writer is collecting the premium the option buyer paid.

There are three ways to win as an option writer. A market can go in the direction you thought, it can trade sideways and in a channel, or it can even go slowly against you but not through your strike price. The advantage is time decay.

The writer believes the futures contract will not reach a certain strike price by the expiration date of the option. This is known as naked option selling.

To hedge against a futures position. For example: someone who goes long cocoa at 850 can write a 900 strike price call option with about one month of time until option expiration. This allows you to collect the premium of the call option if cocoa settles below 900, based on option expiration. It also allows you to make a profit on the actual futures contract between 851 and 900. This strategy also lowers your margin on the trade and should cocoa continue lower to 800, you at least collect some premium on the option you wrote. Risk lies if cocoa continues to decline because you only collect a certain amount of premium and the futures contract has unlimited risk the lower it goes.

Cannon Trading Company Inc. believes in writing options on futures . but advises against doing it without the advice and expertise of a knowledgeable broker or specialist. Be strict when choosing which futures options to write and don't believe in writing options on futures as your only strategy. Using the same strategy every month on a single market is bound to burn you one month, because you end up writing options on futures when you shouldn't. Cannon Trading Co. Inc. believes you should treat option writing just like futures trading. We believe you should stay with the major trend when writing futures options, with rare exceptions. Use market pullbacks to support or resistance as opportunities to enter with the trend, by writing futures options which best fit into your objectives.

Volatility is another important factor when determining which options on futures to write, it's generally better to sell over valued futures options then under valued futures options. Remember not to get caught up with only volatility, because options on futures with high volatility could always get higher. The bottom line is, pick the general market direction to become successful over the long-term. We also believe in using stops based on futures settlements, not based on the value of the option. If a market settles above or below an area you believed it shouldn't and the trend appears to have reversed based on the charts, it's probably a good time to exit your positions. We can help you understand the risks and rewards involved, as well as how to react to certain situations, i. e. if/then trading scenarios. We can either assist your option writing style or recommend trades and strategies we believe are appropriate, using the above guidelines.

Option Buying & Spreads

Most futures options expire worthless and out of the money, therefore most people lose when buying options on futures. Cannon Trading believes there is still opportunity in buying. but you must be very patient and selective. We believe buying futures options just because a market is extremely high or low, known as "fishing for options" is a big mistake. Refer to the guidelines on our "Trading Commandments" before purchasing any futures options. Historic volatility, technical analysis, the trend and all other significant factors should all be analyzed to increase your probability of profit. All full-service accounts will receive these studies, opinions and recommendations upon request. Cannon Trading Company's "Trading Commandments" can be used as a guideline to assist you in the process and decision making of selecting the right market and futures options to purchase.

A common strategy we implement involves the writing and buying of futures options at the same time, known as bull call or bear put spreads. Ratio and calendar spreads are also used and are recommended at times. Please do not hesitate to call for help with any of these strategies or explanations. Here are a few examples we use often:

If coffee is trading at 84, we can buy 1 coffee 100 call and write 2 135 calls with the same expiration dates and 30 days of time until expiration. This would be in anticipation of coffee trending higher, but not above 135 in 30 days. We'd be collecting the same amount of premium as we're buying, so even if coffee continued lower we'd lose nothing. Our highest profit would be attained at 135 based on options on futures expiration. To determine risk we'd take the difference between 135 and 100, which is 35 points and divide it by two, because we sold two calls for every one purchased. You'd then add the 17.5 points to 135 and this would give you the approximate break-even point based on option expiration. Risk lies if coffee rises dramatically or settles over 152.50, based on expiration.

A typical calendar spread strategy we use often would be to write 1 option with about 25 days left until expiration and buy 1 with 60 days left. Example: If coffee was trading at 84 and we thought prices might be heading slowly higher. We can write 1 130 coffee call with less time and buy 1 coffee 130 call with more time in the anticipation that the market will trend higher, but not above the 130 strike before the first options on futures expiration. Some additional risk here lies in the difference between the two contract months. The objective is, if coffee trades higher over the next month but not above the 130 strike price, we'd collect the premium of the option we sold by letting it expire worthless. In addition, the option we purchased may also profit if coffee rises higher, but it may lose some value due to time decay if coffee doesn't rally enough.

*Note: Some futures options trade based on different futures contract months and should always be considered in your trading. Don't hesitate to call for help with any of these strategies or explanations. Remember, the key is still going to be picking the general market direction correct. Therefore, you must analyze and study each market situation with several different trading scenarios and determine which one best suits your risk parameters.

The art of trading these strategies is deciding when, where, which futures markets, and what ranges to use. If you are an inexperienced options trader use these strategies through the broker assisted program .

For more information, check out our Online Trading Futures Market Glossary

The material contained in 'Futures Options Trading 101' is of opinion only and does not guarantee any profit. These are risky markets and only risk capital should be used. Past results are not necessarily indicative of future results.

Online Futures options trading

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Can you really make aliving day trading futures

Can you really make aliving day trading futuresCan You Really Make A Living Day Trading Futures?

Aspiring traders often ask me whether or not it’s really possible to make a living day trading the futures market. The short answer is yes. The longer answer is, yes you can make a living trading the futures market but you have to consistently do a lot of things right. Most traders simply do not yet possess the necessary trading skill, discipline, patience, or realistic attitude to succeed long-term in the markets.

However, this does not mean that it is impossible. You simply have to learn what you need to do to become a consistently profitable trader, and then do it. Easier said than done, I know; but, I am living proof that you can make a living trading the futures market, and I personally know other people who make consistent money in the markets. So, it can be done. My story has ultimately led me down the path of helping other traders, so let me give you some valuable insight into what it takes to be able to trade futures for a living…

Important - On Average, 15,000 + People will Read This Educational Article Today, So I Would Really Appreciate if You Can All Make A Genuine Comment Below the Article and Share it on Facebook and Twitter with fellow traders. Click the “Like Button” to add/share it to Facebook, post it on Twitter, and Of course, share your feedback with me by making a cool comment below this article. Thanks alot for your help in sharing these lessons with others.

How much money do you need to make a living day trading futures?

The first thing you need if you want to make a living trading the futures market is enough starting capital; if you are under-funded you will have to accept that you will not be making a living from trading futures any time soon. The exact amount of disposable money that you will need in order trade full-time will be different for everyone. But, generally speaking, if you plan on effectively managing your risk on every trade, you will need a decent amount of money at your disposal in order to trade a large enough position size to make enough money to support yourself while at the same not risking too much of your account on any one trade.

Part Time trading for extra income is easier to achieve in the early stages of you trading career. You can obviously still trade and make consistent money each month even if you don’t have enough money to allow you to trade for a living just yet. However, instead of putting pressure on yourself to make a lot of money really fast, focus on building a consistently profitable track record and self confidence and the money will follow. Even if you have a lot of money to trade with, if you do not focus on the mechanics of successful trading, you will lose regardless. When I started trading, I started small, and when I became good, I approached people for money to trade, I built up my own capital and then went out on my own. People need to focus on becoming good traders and not focus on how much money they are trading, because let me tell you, if you are good, people will throw money at you to trade for them, and you will be fine in the long run (there are funds and private investors looking for good traders to trade for them, but you need to be good). My most sincere advice in the early stages of your trading pursuits is to aim to be a part time trader and a good one. Big things will follow for you in the future if you can get this first part right.

So, yes, you do need a relatively large amount of money in order to trade full-time and be a player, but you still must be able to be a consistently profitable trader regardless. If you cannot make consistent profits on a small or medium size trading account you will not make them on a large account either, in the end it’s just Zeros. $100, $1000, $10000 per point means nothing, it’s all the same.

Day Trading Futures for a living is the result of doing a lot of things right…

Trading full-time is not about over-analyzing and over-trading, it’s about being a “sniper”; making sure everything is as “perfect” as it can be before risking your money. Combining this high-reward / low-risk “sniper” mentality with a high-probability trading strategy is your edge in the market. Focusing your efforts on trading higher the fewer higher probability setups will give you a much better perspective on the markets and will greatly reduce the amount of trading mistakes you make.

The two most important components of success are not being under-funded and trading only a few setups:

• Learn and master a truly effective futures trading strategy.

• After learning and mastering an effective trading strategy, design a tangible and “working” trading plan around it. Refer to this trading plan every day and tweak or update it as you learn and grow as a trader.

• Record your trades in a trading journal and start creating a track record. This is important for keeping you accountable and helping you maintain discipline.

• Identify a logical and tolerable risk amount for every trade you take, do not ever risk more than you are comfortable with losing on any one trade. Practice proper money management.

• Do not over-trade. Doing everything else discussed in this article will help you to not over-trade. But you really have to be consciously aware of this huge trading mistake. Most new traders trade too much and in my opinion this is the number one reason most of them fail to make a living in the market.

If you are properly funded, have mastered a few high probability setups, are consistently and perfectly executing your edge, are following your trading plan, are recording your trades, and not over-trading or over-leveraging, you have a very good shot at eventually making a living from the market. The trick is that you must do ALL these things right. You can’t just do one, you have to be on top of your game all the time to make a living as a trader; it’s not easy or get rich quick.

Learning to trade from a successful trader can help you achieve your goals faster…

Just like any other profession or skill in life, it is easier to learn from a mentor. Learning to trade from a skilled trading mentor is arguable the most efficient and effective way to achieve your trading goals. ( No this is not some marketing pitch lol, I am serious, you need to educate yourself and be around others with the same goals, that is the entire reasons I started my trading community in the first place, ie; to share ideas, to be around other traders who have similar goals and to continue my own learning journey).

For almost 2 years, I have shared all my technical trading strategies with the public in my trading course and members’ community. I provide aspiring traders with the necessary pieces of the puzzle, but it is up to them to put them all together, I cannot do this for you. There are many “human” elements to trading that will require much effort on your part to master. If you can master the technical aspects that I teach along with the human elements, trading for a living is a realistically achievable goal for you.

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Online investment companies

Online investment companiesOnline Investment Companies

Page 1 of 2

For years now, you have heard about the wonders of investing in the stock market and how, over the course of many years, it always seems to go up. After saving a few dollars and taking a deep breath, you are ready to open a brokerage account and start buying some stocks. There seem to be plenty of options available: you can either hire a professional broker to handle your accounts, or you can go with online investment companies. The choice is yours, but which one is right for you?

One of the most popular online investment companies, if not the most popular, E*TRADE has nearly every feature you could need in an online broker. Commissions on trading fees are very reasonable and run anywhere from $6.99 to $12.99 per trade, depending on how active you are with your money investing and how much business you conduct with E*TRADE. In addition to online broker services, E*TRADE offers checking and savings accounts, credit cards, and even mortgages. As one of the best online investment companies, E*TRADE prefers the electronic, hands-off approach in terms of customer service. That is not necessarily a bad thing as you can open accounts (even IRAs or custodial accounts), submit customer service inquiries, and handle nearly everything online once you are logged in. E*TRADE also features advanced trading tools and research if you wish to broaden your horizons.

Charles Schwab

Like many online investment companies, Schwab is very similar to E*TRADE in terms of its service offerings, pricing structure and reliance on technology to make things more efficient. A big difference, however, is Schwabs expanded emphasis on personal customer service. The advertising approach Schwab takes makes this emphasis clear; youll often seen advertisements about “Talk to Chuck” or individuals sharing their personal stories. Compare that to E*TRADEs approach of boasting 1,000 new accounts per day. That is probably not the message you want to hear if you are looking for friendly customer service in your search for online investment companies. Schwab also offers excellent independent research, trading tools, and fee waivers for nearly everything (except trading commissions) related to conducting more business with Schwab.

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Employee training strategies for businesses on abudget

Employee training strategies for businesses on abudgetEmployee Training Strategies for Businesses on a Budget

By: Chris Lewis

There is no doubt about it: employee training programs can be quite expensive, particularly for small businesses. Thankfully, alternatives are available.

Consider the following strategies to tap into your current workforce to foster both employee productivity and employee development -- without significant impact to your bottom line.

Employee Cross-Training

Its a situation small business owners know all too well: extended employee absences can impact business productivity. But happily there is a solution -- some businesses have chosen to cross-train their employees.

This training plan is simple. By sharing their techniques and knowledge, employees show their fellow colleagues how to perform their most significant tasks, so their responsibilities are fulfilled during work absences.

To successfully implement cross-training in your business, Jill Morrone, owner of an ice cream parlor and restaurant in Brimley, Mich. offers these tips:

Propose. Suggest the program to each of your employees and determine which employees are interested in contributing their time and knowledge.

Choose . From there, decide which employees are the most adept to training others. Generally, senior workers are more willing to train others, but this may vary according to your specific business and industry. Encourage cross-generational training among your employees.

Confirm. Once you have determined which employees will cross-train their colleagues, ensure they are prepared for the training process. You may have to offer guidance, especially as the training first begins.

Balance. Always provide trainers and trainees a proper with a balance between their own job responsibilities and the training itself.

Practice. Provide trainees with an opportunity to actually apply their new skills prior to employee absences. This will reduce the likelihood of future and often avoidable mistakes.

Motivate. To increase employee participation in the future, reward all participants by offering incentives such as gift cards or casual dress days.

“Through cross-training, you can develop an integrated workforce that is prepared for long-term absences and is more knowledgeable of your businesss operations,” says Morrone.

Employee Mentoring

Far too often, employees are offered additional responsibilities with little or no direction. Even worse, they can be hired without receiving any formal employee or management training. The result: worker productivity declines.

These issues can often be addressed or even eliminated via a mentor-protégé training program.

Small business owner and photographer Anthony Alichwer of Easton, Pa. has implemented such programs with positive results. He offers this initial advice:

Pair mentors with protégés. Discuss your idea with senior employees for their feedback. Match interested employees with protégés, according to similar career paths, interests, and goals.

Familiarize. Before training begins, ensure that mentors and protégés have an opportunity to meet, become acquainted, and identify their goals. Failure to do so may result in unsuccessful training.

Create an agreement. Mentors and protégés should consider developing an agreement that includes the duration of the training program, goals that should be fulfilled, and follow-up meetings.

Offer opportunities. Perhaps your mentor-protégé pairings would be interested in attending networking events or listening to guest speakers. If so, enable them to advance their learning. Dont be afraid to offer suggestions.

“Meet with the partners to ensure that both mentor and protégés interests are being fulfilled,” says Alichwer. “Discuss the strengths and weaknesses of the training program and ask how the program can be improved in the future.”

Brown Bag Seminars

A more informal method of employee training are brown bag seminars offered during your employees lunch breaks. These sessions are best kept voluntary and, for the most part, casual and free.

Alichwer generally hosts brown bag seminars on a monthly basis, but they can be held as often as you wish. He believes these seminars are beneficial for the following reasons:

Intimate and interactive. Unlike other training options, brown bag seminars allow employees to interact with one another on a wide range of training topics, from customer service to marketing. These interactions increase employee bonds and, ultimately, improve teamwork.

Timely. A majority of brown bag sessions are an hour long or less, so as to avoid taking too much time away from employees busy schedules.

Leadership . Give all your employees the opportunity to lead a session. The result is a more confident and team who can practice their leadership and communication skills.

Employee fellowship will likely improve your businesss operations,” says Alichwer.

Video Conferencing and Audio Conferencing

Finally, Morrone suggests video conferencing and audio conferencing as employee training program alternatives.

Each of these training programs is especially useful for small businesses whose employees telecommute or frequently travel.

To experience the training firsthand, employees only need Internet access and cellphones.

Morrone believes employees will notice the following benefits with either conferencing option:

Connecting capabilities. Whether employees are at your company headquarters or traveling, they can effectively communicate with one another. Video conference users are usually networked into one primary location in which they communicate via web chat, while audio conference users can listen to speakers training presentations and communicate with trainers post-session.

Organized. Most conferences are clearly-structured and easy to follow, giving employees the ability to take notes and prepare questions.

Question and answer sessions. A majority of conferences include QA sessions, allowing employees to communicate with trainers and resolve any issues.

“Employees are often located remotely for business travel,” Morrone says. “Video and audio conferencing lets them expand their skills and knowledge even when they are away from their offices.”

Online Employee training strategies for businesses on abudget

4forex diamond ea

4forex diamond ea#4 Forex Diamond EA

#4 Forex Diamond EA Review

Forex Diamond robot is developed by FXautomater® team and also the developers are the same as the creators of WallStreet Forex Robot .

Trading Style – Uses 3 Proven Forex Trading Strategies


TF (TimeFrame) – M15

Recommended Minimum deposit – $250

Price – $199 $95

Refund policy – 60 Days Money back guarantee

ForexDiamond has 3 smart strategies, as this EA follow the trend and can find reversal points for counter-trend trades and also will provide smart money-management system, dynamic profit trading and protection. The Forex Diamonds goal is to make systematically execute profitable trades with small risk for your account balance. As you can see on the image, they are verified by MyFXbook . This EA has verified gains everyday.

Forex Diamond use Countertrend Strategy to watch and follow the market for potential trend reversals. So, when the robot detect opportunity, the EA will adjust to find the perfect level for entry to maximize your potential profit of each order.

The CounterTrend scalping strategy leverages small spread trades with clearness and speed. This strategy watch the market for potential trend reversals with dynamic trading logic. This EA could work in every second for you, as the robot may make a lot of trades per day. The protections from consecutive losses are guarantee by the developers. They also promise spread protection, high slippage protection, profit protection, high frequency trading, self-updated and full support.

By the words of developers, Forex Diamond EA analyzing hundreds of market factors, making a lot of calculations and could do profitable trades multiple times per day. You can get full license only for $299USD, as you will receive full lifetime updates and support. The sellers guaranteed 60 days money-back, as you can open demo account to try the robot absolutely free.

Phoebos comment :

FXMAN comment :

Forex-diamond Price = $199, however you can buy it with Discount our price = $95

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Trading strategy back tester by donny lee

Trading strategy back tester by donny leeOur employees’ innovation, creativity and inspiration drive our business every day. From rich career development programs to industry-leading technology, we provide our teams with long-term growth opportunities and an unmatched compensation plan. We are building a great company and a great business focused on top performance and continuous improvement.

We strive for continuous improvement in everything we do, and that includes building strong, ethical and trusting relationships with our vendors. Top performance can only happen when you demonstrate a commitment to environmental excellence, mutual accountability and uncompromised safety practices.

We are focused on delivering shareholder value through financial discipline and profitable and efficient growth from captured resources, including balancing capital expenditures with cash flow from operations, reducing operational risk and complexity, promoting a culture of safety and integrity, and being a great business.

Doing things right means protecting the environment and the health and safety of our stakeholders. Our commitment to owners and their land goes beyond paying a royalty. It’s about being a partner of choice and working every day to earn and keep your trust. From maintaining safe work sites to providing dedicated resources through our Owner Relations Department, we are committed to partnering with owners for long-term oil and natural gas production.

At Chesapeake, everything we do focuses on driving shareholder value, beginning with executing our business strategies of financial discipline and profitable and efficient growth from captured resources. With an industry-leading portfolio of unconventional, onshore oil and natural gas assets in the U. S. we are unlocking value in each of our operating areas through increased cash flow, improved drilling and completions efficiencies and growing production. We are building a great business positioned for decades of growth.

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Introduction to trading psychology

Introduction to trading psychologyIntroduction to Trading Psychology

By John Russell. Forex Trading Expert

From the day that you decide make the move from a demo account to a live account, things change in ways that you could never really be fully prepared for.

What is trading psychology?

Then, you make that first live trade and you start to feel indecisive about when to take profit. or cut your losses. You have just discovered the effects of trading psychology.

How does trading psychology affect your trading?

Trading psychology can affect your judgment while you are trading. There are two emotions in particular have been the source of ruin for forex traders over the years. Those two emotions are fear and greed. Fear will cause you to either not make a trade when the opportunity arises, or to close a trade prematurely without giving it a chance to be profitable.

Greed will cause you to make trades that are too large or too risky, while trying to make massive gains. Greed can also cause you to try to wait for the a??last pip a?? of a move instead of being satisfied with a a??good runa??.

How to beat your emotions

The best way to combat trouble with trading psychology is by making a trading plan and sticking to it. Use well thought out risk management and dona??t get in over your head. Remember that mastering your emotions will allow you to seize the real profit from the markets while emotions are high for others.

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Bangladesh economic news

Bangladesh economic newsBonds, derivatives, online trading set for DSE

Bonds, derivatives, online trading set for DSE

Massive expansion could mean millions for local firms

Zakia Tazin

The DSE announced bold expansion plans on Tuesday that could greatly increase its products and scope, and attract billions into Bangladeshs cash-starved companies.

In a ground-breaking announcement, the newly-elected The Dhaka Stock Exchange (DSE) president committed that online trading, bond trading, a derivatives market and equity trading will be introduced by September. The DSE will be in line with international standards, said Shakil Rizvi on Tueaday, setting a three-year timeframe.

The president said an expanded DSE would greatly enhance the prestige and capital of the exchange, adding that he expects stocks to remain high for the foreseeable future.

The president added that he was pleased with the finance ministers assurance that shares of state owned companies would be floated soon, which investors hope will end the market dominance of market leaders like GP.

The announcement elicited rare praise from market observers, who have been critical of recent regulatory moves. Professor Mojib Uddin Ahmed said: Definitely introducing the derivative markets is positive. But he cautioned that market regulators need to catch up with the DSEs expanding size and scope.

The markets require a strong structure in terms of physical facilities, regulations and trading facilities. Those structural changes are essential before introducing such sensitive securities.

The DSE said that the countrys crumbling power sector could attract funds through the exchange, saying that the DSE is ready to provide TK 20 billion in capital.

Professor Mojib Uddin Ahmed told The Independent that that the presidents projections sound reasonable.

I personally believe that over 60 per cent of the development plans of the government can be easily funded by the capital market.

Former DSE President Rokibur Rahman also agreed, saying the state collected over Tk 20 billion against Tk 3.5 million.

He was skeptical about the bourses bold expansion, saying that Dhaka is not ready to become a mature market. Renowned economist Abu Ahmed also applauded the announcement that internet trading would be introduced.

He cautioned that the derivatives market will need time to mature, and added that bank interest rates will need to drop if the bond market is to thrive.

The markets volume has increased greatly over the past year, with turnover exceeding TK 17 billion, mover then 300 per cent over the previous year. The index went up by more than thousand points.

B/O accounts stood at 220,000, 12 thousands of which was only 140,000 in 2009. Market capitalization to GDP stood 38.38 per cent, which was 18 only per cent.

The number of electronic, versus demit or paper shares stands at 99.13 per cent.

Online Bangladesh economic news

Online trading ratings

Online trading ratingsBrokerage firms are licensed to buy and sell securities for clients and for their own accounts. Brokerage firms provide individual investors their link to the financial markets by employing brokers who carry out the investors order to buy or sell securities.

An investor should note that while online and discount brokerage firms may charge lower commissions than full-service brokerage firms to execute their buy and sell orders, those firms are also less likely to provide the range of services mentioned above. This may not be an issue for many investors as extensive information and online account access are now readily available. The individual investors needs will dictate which services will be required.

Online Online trading ratings

Warren buffett strategy long term value investing

Warren buffett strategy long term value investingWarren Buffett Strategy: Long Term Value Investing

Warren Buffett Strategy

The Warren Buffett strategy is a long term value investing approach passed down from Benjamin Graham’s school of value. Buffett is considered to be one of the greatest investors of all time. His investing strategy, value, and principles can be used to help investors make good investment decisions.

Long Term Value Investing

Benjamin Graham taught the long term value investing strategy of purchasing stocks at a price below their intrinsic value ; then holding them until their price reflects the real value of the company. Warren Buffet described Benjamin Graham’s Intelligent Investor as “by far the best book on investing ever written”.

In the Intelligent Investor Mr. Graham used the parable of Mr. Market to demonstrate how an intelligent investor should exploit the inefficient pricing of securities. This is the foundation of the Warren Buffet strategy of long term value investing.

Warren Buffet Strategy

Stick With Long Term Value Investing Strategies

Don’t let fear and greed change your investing criteria and values. Avoid being overwhelmed by outside forces that affect your emotions. Never sell into panic.

Invest in What You Understand

Buffet only invests in companies he understands and believes have stable or predictable products for the next 10 15 years. This is why he has typically avoided technology companies.

Invest Like You Are Buying the Entire Company

Treat investing in a stock as though you are buying the entire company. I always take a hard look at enterprise value because this is the total price of a company. In other words, it is the price you would be paying for the company if you could buy the whole company at current prices.

Companies with Competitive Advantages

Companies with pricing power, strategic assets, powerful brands, or other competitive advantages have the ability to outperform in good and challenging times. A long term investing strategy requires investing in companies that can weather both good and bad economic times.

Find Quality Companies

Buffet believes in quality investing. He would rather pay a fair price for a great company than a low price for a mediocre company.

Keep Cash On Hand

Investment opportunities become available through broad market corrections or individual stocks that become bargains. These are not predictable events; so cash on hand is an important concept in value investing.

Require a Margin of Safety

Purchasing stocks with a margin of safety below their intrinsic value reduces risk and provides an allowance for unforeseen negative events.

Compounding and Patience

Buffet believes in long term value investing because he understands the power of exponential growth. Companies with sustainable profits can pay and grow their dividends. There are few more powerful long term investing strategies than dividend growth compounding.

Following Warren Buffett

We can study long term value investing by following the Warren Buffet strategy . He has proven to be a disciplined follower of value principles that build wealth over the long term. Use his strategies to improve and sharpen your investment management skills.

Online Warren buffett strategy long term value investing

Raising niagara

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Hedge fund-berkshire hathaway

Hedge fund-berkshire hathawayHedge Fund - Berkshire Hathaway

Warren Buffett Bio, Returns, Net Worth

Warren Buffett. We could jot down the nearly endless list of descriptives that would just begin to portray his followers’ feelings towards him. But it’s time consuming, so let’s just put this as a constant: Warren Buffett is The Man. We know.

But let’s just explore this a bit further. Ordinary investors follow every step Warren Buffett makes. But so do the seasoned professional money managers. They even invest their clients’ funds in Berkshire Hathaway stock. Everybody knows that if they had invested $1000 with Warren Buffett back in the day, they would have been a zillionaire today. We can’t go back in time and invest in Warren Buffett’s investment vehicle, Berkshire Hathaway stock, but we can invest today. But does it make sense to invest in BRK today? Can Warren Buffett generate alpha today, like other smaller hedge fund managers like David Einhorn, Bill Ackman, Paul Tudor Jones or Dan Loeb?

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Training strategy document example

Training strategy document exampleThis page contains sample documents from real projects that we've completed over the years. The types of documents that are generally created during the design process may include:

Participant Workbooks - the materials that the participants will use to enhance their learning during an educational event.

Job Aid - a reference sheet or guide that participants can also use outside of training.

Trainer's Guide - A detailed outline or step-by-step instructions that the trainer follows to ensure that the activities are facilitated properly and all the content is covered.

Design Document - a detailed outline of what the final product will contain. Also called a Training Plan.

No two projects are alike and the samples provided below are from many different projects. They have been slightly modified to eliminate identification of the actual clients or have been shortened to ensure that proprietary content is not disclosed. In most cases, the samples have been shaped by each client's preferences, as well as the nature of the topic.

Online Training strategy document example

Back testing strategies

Back testing strategiesBack Testing Strategies

The ability to Back Test strategies is an important part of learning and validating whether the trading plan being applied to a market is actually performing as expected. The power of Your SOFTWARE is its ability to scan and find high probability trades on any date in the past and then step forward through these trades for subsequent performance evaluation. Strategies can be stepped forward by any selected timeframe. For more information on scanning for trades, see the Trade Scans topic.

Trading strategies can be constructed and analysed on any date in the past within the Option Analysis work page. The Back Test function can be accessed via the Action menu in the Strategy Tab page.

Back Test Via Strategy Tab

The remainder of this topic will show users how to Build. Step through and Value a simple trade strategy using Your SOFTWAREs built in Back Test feature.

Back Test a Trade Strategy

Enabling a Back Test

To enable the Back Test feature, click the Action menu and select Back Test from an Option Analysis Strategy tab page. A date picker control will be displayed on the main function bar which is used to select the date in the past to perform the back test as shown below.

Use the date picker to select the date to test a trading strategy. The left and right arrow controls on the date picker will move the calendar dates backwards and forwards respectively by one month at a time. If a date in the future, weekend or market holiday is selected, there will be no option chains displayed in the main analysis data table.

To disable the Back Test feature, click on the Action menu and select Back Test . The option data chains will then revert back to the current date and any existing trades will be valued at the current date.

Building a Back Test Strategy

Building a strategy on a back test date uses the same process as building a strategy on the current market date. The only difference being a strategy is being constructed on a selected date in the past. For more in depth details on strategy construction see the Strategies topic.

This will be highlighted via a simple example of building a Call Option trading strategy on the stock Apple Inc (AAPL) by setting the Back Test date to the 6th February, 2012. See the above section Enabling a Back Test to select this date.

Selecting the 6th February, 2012 date from the date picker control will automatically load the option data chains for that date. The screen below shows the date picker control displaying the Back Test Date . The Last Traded date also reflects the selected date of 6th February, 2012.

Any trading strategy can now be entered for testing purposes. A simple Call option will be used to illustrate this feature.

Entering a trade to Buy 1 Apr12 480 Call option will display all the trade and risk statistics in the Trade and Strategy Summary windows associated with this position. All figures reflect the prices and valuations on the selected Back Test date.

The Risk Graph for the position can be viewed via the Graphs tab. The graph and risk statistics displayed will reflect the profile of the position on the selected Back Test date. Additional “What-If” analysis can be performed using the features on the Analysis Palette .

The trade can now be Saved for future reference via the Save or Save As… commands or stepped forward by a selected timeframe to evaluate its performance. Saved trades can also be Opened and new Back Test dates selected, similarly to current market strategies.

Stepping a Strategy Backwards and Forwards

The ability to step a trade forwards or backwards in time is the essential ingredient for performing a back test. Your SOFTWARE has multiple ways of stepping trades forward or backward whether it is on a day by day basis or by any user defined timeframe.

Stepping Day by Day

Trades can be stepped on a day by day basis via the left and right arrows on the Back Test display control as shown below.

By stepping one day at a time, the option chains for each selected date will automatically load and the trade will be revalued using the new market data showing, amongst other statistics, the new Profit/Loss figure. In addition, the Risk Profile on the Graphs tab will also be updated with the new market data.

Stepping by a User Defined Timeframe

The second way to step trades forwards or backwards is via a user defined timeframe. Users can select any timeframe to move a back test trade by clicking on the dropdown arrow on the Date Picker control and selecting any date forward. Once the date has been selected, the option chain data will load and the trade revalued. The example below shows the valuation date being moved to the 16th March, 2012.

The ability to step a trade forward by any timeframe helps when testing time based exit strategies or option expiry dates. These dates can be directly selected forward by using the Date Picker control.

Valuing a Back Test Strategy

Valuing trades on a selected Back Test date is crucial when undergoing a Performance Evaluation for a given trading plan. The trade valuation is the basis for reporting the Profit/Loss on a trade in addition to the option “Greeks” and the Risk Profile shown on the Graphs tab.

Trade strategies automatically get updated and valued when back test dates have been selected. The screen below shows that new valuation of the Call option trade on the date set to 16th March, 2012.

As can be seen, the trade is valued on the new valuation date of 16th March, 2012 and the Profit/Loss and trade “Greeks” reflect the new values.

The Risk Graph for the new valuation date can be viewed via the Graphs tab. The graph and risk statistics displayed will reflect the profile of the position on the selected Back Test date as shown below.

The Back Test feature is a very important tool in a traders arsenal. Your SOFTWARE provides a great tool to help validate trades and learn how to make adjustments to trades when necessary. Any adjustments can then be stepped forward and revalued to see how the strategy performs in the market.

Online Back testing strategies

Trading binary options strategies and tactics abe cofnas pdf60binary trading brokers

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Business excellence

Business excellenceBusiness Excellence

There are five powerful lessons in business, lessons carefully developed by the Disney organization in its never-ending pursuit of excellence. These universal pillars of a successful business—leadership, culture, service, brand and innovation—are the keys to sustained business excellence. Together, these lessons forge an enduring bond between inspired leaders, motivated employees, satisfied customers, and an ability to continually grow the brand.

Throughout this course, you will discover insights that drive the Disney organization and practice adapting these insights to strengthen your organization to obtain the goal of long-term results.

What You Will Learn:

Adapt time-tested Disney business insights to assess and improve your organization.

Develop a leadership vision that inspires dedication and commitment among employees.

Apply key elements of the Disney employee engagement strategy to strengthen your culture.

Develop an organization that supports consistent delivery of exceptional quality service.

Foster a collaborative environment that draws on the creative resources of your entire organization.

Incorporate time-tested principles for building and fortifying brand loyalty.

View Course Dates

Who Should Attend

Disney insights and illustrations are beneficial to anyone interested in discovering the key business practices that make Walt Disney Parks & Resorts a worldwide success with a desire to adapt these key insights to help drive financial results, repeat business, and a sustainable competitive advantage for their own organization.

Course Details

An Introduction to the Disney Circle of Excellence

Creativity as a competitive advantage.

The power of a leadership vision.

Maintaining a corporate culture created by design.

Establishing exceptional quality service.

Sustaining brand loyalty.

Creativity & Innovation

Disney continues to foster and organize the creative energy of its employees with great success. Learn techniques to capitalize on the diversity and depth of your workforce and how to unearth fresh sources of new and innovative solutions to everyday business challenges.

Apply time-tested Disney concepts and practices to increase creativity and innovation.

Use your organizational identity to encourage and enable creative decision-making.

Improve business results through structural systems that bring innovations to life.

Leadership Strategies for Organizational Excellence

At Disney, leadership is not defined by your title – it's defined by your actions. Our leaders proactively work to align their values with the Company's vision and the result is a motivated, innovative, and productive workforce. Learn the details of the Disney perspective on leadership and how to adapt it to your journey.

Establish a vision for the future of your leadership.

Align the processes and procedures of your organization with your personal and organizational values.

Communicate values and vision to all members of your organization.

Employee Engagement Practices

By applying Disney's time-tested approach, you will learn insights that will help your organization not only hire the people that best fit your culture, but also shape them into employees who are comfortable in their roles and know their purpose.

Adapt Disney training strategies that ensure employees are confident in their roles while also reinforcing your organization's culture.

Shape your organization's culture based on desired employee behaviors, and select people who fit that culture.

Create a supportive environment through genuine care, including employe e recognition, lifestyle support, and eliminating workplace hassles.

Consistent Delivery of Quality Service

Uncover some of the secrets behind the Disney service culture and processes. Examine the time-tested approaches for delivering world-class Guest service and discover how attention to detail creates a consistent, successful environment for both employees and customers.

Develop an organizational culture that supports consistent delivery of quality service.

Design quality service standards and processes to raise your level of customer satisfaction.

Engage employees, and design settings and processes to help deliver on your quality service commitment.

Fortifying Brand Loyalty

Since the beginning, Disney has been creating and sustaining lifelong relationships with its customers while producing strong business results. Explore techniques used to retain customers for life and identify reliable strategies to deliver more effectively on your organization's brand.

Identify the impact brand loyalty has on financial performance and reputation.

Expand your products and services to foster repeat business.

Sustain a competitive advantage for your organization.

Pricing & Details

Disney's Approach to Business Excellence is available as a 5-Day course at the Walt Disney World Resort.

For courses starting before Dec. 31, 2015

Online Business excellence

Glencore puts two copper mines on market to pay down debt

Glencore puts two copper mines on market to pay down debtGlencore puts two copper mines on market to pay down debt

Glencore (GLEN) said it is considering selling two of its copper mines, as the mining giant races to shore up it balance sheet and restore investor confidence.

Tom Balmer |

Publish Date. 13 Oct 2015 11:01 |

The Switzerland-based commodities group has put its Australian copper mine in Cobar, New South Wales, and its Lomas Bayas copper mine in the Atacama desert in Chile on the market as it seeks to raise money to reduce $30 billion in debt.

Glencore said its had received expressions of interest for both mines.

The sale process is in response to Glencore receiving a number of unsolicited expressions of interest for these mines from various potential buyers, the firm said in a statement on Monday, adding that it has kicked off the bidding process but stressed the assets may not end up being sold. Analysts believe the mines, in Australia and Chile, together could fetch up to $1 billion.

The company in September said it intended to sell some assets to help raise cash as its pledged to cure net debt by a third, or roughly $10 billion, by the end of 2016.

Glencore shares in Hong Kong were suspended on Monday ahead of the announcement, while its London-based shares plunged 6.16 percent on Monday, after gaining 7 percent in Fridays action.

Related Coverage: Trade Binary Options of Glencore (GLEN) on Cedar Finance

Online Glencore puts two copper mines on market to pay down debt

Understanding stock options

Understanding stock optionsUnderstanding Stock Options

A Quick Overview

Understanding stock options can be a challenge, but successful option trading strategies are not as esoteric or as difficult as big men in big suits charging thousands of dollars for weekend seminars make them out to be.

Translation: You can do this .

Stock or equity options are essentially contracts that give the holder the right to either purchase shares of stock (call option ) or sell shares of stock (put option ) at a given price (strike price) on or before a certain date (expiration date). In almost every case, each contract represents 100 shares of the underlying stock in question.

As a stock rises, its call options gain value (and its put options lose value). Similarly, as a stock decreases in price, the value of put options increase (and its call options decline).

Options are considered decaying assets. With all else being equal, as time passes, the overall value of an option will decline. Despite their short life-span, however, they can accomplish quite a bit.

That may not be everything required for understanding stock options, but it is the core building blocks.

Within this basic framework reside a whole host of strategies and possible transactions. Options can be bought and sold in a wide variety of combinations and for a wide variety of purposes.

From basic portfolio protection to conservative income strategies to outright high-risk speculation and even complete financial self-immolation, you can use options as conservatively or as aggressively or as recklessly as you like.

Fundamentally, the most important thing to understand when studying or trading options is that the real commodity that option buyers and sellers are trading is degrees of risk.

In general, the more risk you are willing to take on, the greater your potential returns can theoretically be. Likewise, you can use options to decrease your investment risks, but the trade off is having to give up a share--and sometimes a very large share--of your potential profits. The more risk you outsource, the less potential upside remains for your portfolio.

TERMINOLOGY: If you own either a call option or a put option and choose to exercise your rights, either buying or selling those 100 shares of the underlying stock at the agreed upon strike price, your action is termed, logically enough, an EXERCISE . If, however, you are the seller of the option and someone Exercises it on you, from your perspective it's considered to be ASSIGNED . And probably not the highlight of your day. Both terms refer to the same event; the only difference is who's doing it to whom.

And finally, there are two primary advantages (or distinctions) to trading options vs. stocks:

Flexibility - options are incredibly versatile financial instruments. There are basic, intermediate, and advanced option trading strategies for nearly every conceivable market condition and personal objective. In addition, it's also possible to adjust, convert, or repair an open options position if it begins to go against you. There's a reason, after all, that they're called options.

Leverage - options also provide an effective and cheap means of leverage. You can control a whole lot more shares of a stock through the use of options for the same amount of money than you ever could purchasing them on margin (and having to pay interest) with your broker. It's the leverage aspect that makes option trading so potentially lucrative and so potentially dangerous (in the wrong hands, of course--I have complete confidence in your innate intelligence, judgment, common sense, and just good plain luck).

Online Understanding stock options

How to use bollinger bands in forex

How to use bollinger bands in forexHow to Use Bollinger Bands in Forex

Developed by technical analyst John Bollinger in the 1980s, Bollinger Bands identify the degree of real-time volatility for a currency pair. Traders keep a close eye on volatility because a sudden increase in volatility levels is often the prelude to a market trend reversal. Bollinger Bands are placed over a price chart and consist of a moving average together with upper and lower bands that define pricing "channels".

Bollinger was not the first to plot moving averages. Indeed, moderating the effect of rate fluctuations through a moving average calculation has long been a staple of technical analysis. However, Bollinger took the idea one step further by using the concept of standard deviations to add bands above and below the moving average line to define upper and lower rate boundaries. These boundaries form the pricing channels used to measure volatility.

In the previous lesson, we saw that a moving average based on the most recent spot rates "smoothes out" overall rate fluctuations. To review how moving averages are calculated, see Lesson 1 - Moving Averages for more information.

Online How to use bollinger bands in forex

Join wizetrade-today!

Join wizetrade-today!At Wizetrade, we like to keep trading simple. Simple to use software, easy to follow charts, a comprehensive real-time Live Market Alerts service … and now, one simple price point: $150/month. No upfront fees and the price of the U. S. data feeds are included.

Wizetrade Suite: Platforms for tracking and trading Forex, Stocks, Commodities and Options, along with all companion Scanner tools. (Previously offered at $199/month or $299/month for CommandTRADE owners)

CommandTRADE Suite: Automated trading platforms for Equities and Forex. (Previously available by purchase only, $4995 each or $5,995 bundled, not including monthly data feed charge)

LightWave Suite: All Wizetrade Suite products in a single platform that includes Price Charts and technical indicators/studies. (Previously $199/month or $299/month for CommandTRADE owners)

Live Market Alerts: Stay abreast of the latest market happenings, chart developments, trend analysis and more with real-time alerts delivered to your desktop, email or mobile device. Similar alert services cost as much as $500!

All of this, plus access to FREE Daily Live Webinars where our trainers offer eight hours of educational market analysis of the trends and trade opportunities, as well as discuss the strategies and trading methodologies that may be best suited to the day’s current market conditions.

Online Join wizetrade-today!

Optimal trading strategies robert kissell pdf best binary option signals service

Optimal trading strategies robert kissell pdf best binary option signals serviceOptimal trading strategies robert kissell pdf. Best Binary Option Signals Service


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Long call

Long callThe VIX Strategy Workshop is a collection of discussion pieces designed to assist individuals in learning how options work and in understanding VIX options strategies. These discussions and materials are for educational purposes only and are not intended to provide investment advice.

Investment decisions should not be made based upon worksheet outcomes.

Access to, or delivery of a copy of, the Options Disclosure Document must accompany this worksheet.

If a trader forecasts a rise in expected market volatility, then buying a VIX ® call option might be an appropriate strategy. Any option trade involves, at minimum, a two-part forecast. The first part is the direction of the underlying instrument, and the second part is a forecast for the time period of the expected price move. When trading VIX options, there may be third piece to the puzzle. Since VIX options are priced using the same assumptions as the corresponding VIX futures contracts, it is often helpful to check the price level of that corresponding VIX futures contract.

Buy a call, strike price A

Generally, the stock price will be at or above strike A

Who Should Run It

Veterans and higher

NOTE: Many rookies begin trading options by purchasing out-of-the-money short-term calls. That’s because they tend to be cheap, and you can buy a lot of them. However, they’re probably not the best way to get your feet wet.

When to Run It

You’re bullish as a matador.

The Sweet Spot

The stock goes through the roof.

About the Security

Options are contracts which control underlying assets, oftentimes stock. It is possible to buy (own or long) or sell (“write” or short) an option to initiate a position. Options are traded through a broker, like TradeKing, who charges a commission when buying or selling option contracts.

Options: The Basics is a great place to start when learning about options. Before trading options carefully consider your objectives, the risks, transaction costs and fees.

The Strategy

A long call gives you the right to buy the underlying stock at strike price A.

Calls may be used as an alternative to buying stock outright. You can profit if the stock rises, without taking on all of the downside risk that would result from owning the stock. It is also possible to gain leverage over a greater number of shares than you could afford to buy outright because calls are always less expensive than the stock itself.

But be careful, especially with short-term out-of-the-money calls. If you buy too many option contracts, you are actually increasing your risk. Options may expire worthless and you can lose your entire investment, whereas if you own the stock it will usually still be worth something. (Except for certain banking stocks that shall remain nameless.)

Maximum Potential Profit

There’s a theoretically unlimited profit potential, if the stock goes to infinity. (Please note: We’ve never seen a stock go to infinity. Sorry.)

Maximum Potential Loss

Risk is limited to the premium paid for the call option.

Online Long call

Market profile strategies

Market profile strategiesMarket Profile Strategies

Posted by mokwit on Elite Trader

From CQG website

Q: Is the opening higher or lower than the previous close?

A: If the opening price is higher or lower than the close it signals a change in sentiment overnight. The greater the difference in price the more significant the change.

Q: Is the opening higher or lower than the previous day's value area.

A: This is more significant because what was considered fair value yesterday is no longer considered fair value today. It's important especially if the price has previously been balanced, for example, price has been in a narrow range and moving sideways.

Q: Did opening price match, exceed, or fail to meet the opening call level?

A: It's important to get the opening call so you know exactly how bullish or bearish the opening was, i. e. price has opened 10 ticks higher than yesterday's value area. but was due to open 20 ticks higher. The opening can be regarded as a failure on the upside if price never reaches 20 ticks higher in the first time period.

Q: Was yesterday's close at one extreme of the day's range?

A: The current day's opening determines if the previous extreme close was caused by short term traders forced to liquidate or by long-term traders entering the market. If the opening is higher, and the initial balance remains higher, this confirms the close and we can expect a trend-up day. If the price breaks above the initial balance. or support is found when the price returns to the previous day's high or value area high. this indicates an uptrend. If the open is lower than the previous close, this suggests a potential for price reversal.

Q: Was yesterday's close within its value area.

A: This suggests the market ended with the day balanced. It's important to see if there were any spikes or rejections of value as these might point the way to the next trend.

Q: Where was the highest level of volume?

A: This provides an area of support or resistance indicated only with Market Profile. an important consideration when placing stops.

Q: Where was the control point?

A: The control point is the highest volume of trade at a price, or prices, in a close range. The control point indicates fair value and aids in placing stops.

Q: Are there any zones of support and resistance on the previous day's extremes of value areas?

A: Value Area highs and lows prevent poor stop placements, but also provide low risk entry points against the short-term trend. These trades work especially well in broad sideways markets, but can also be used as profit taking points.

The following FAQs apply to the first hour after the market opens.

Q: Is the Initial Balance Range much smaller than normal?

A: If so, it is highly likely that price will break out in one direction or another, or possibly both directions. Typically, in the absence of any news event that may drive a price, a breakout is not regarded as a directional move.

Q: Has the first letter created a tail (spike) that has not been touched by the second letter?

A: This suggests the opening was regarded as unfair value and often precedes a directional trend move. It's crucial to know the opening trading range.

Q: Was yesterday a trend day, a balanced day, or a neutral test day?

A: Balanced days, where the open is near the close, have similar properties to Japanese Candlestick Dojis, and indicate potential turning points. A neutral test day occurs when price distributes in one direction outside the initial balance. then reverses and distributes in the other direction. This is often caused by news events. Generally, short-term traders are caught on the wrong side and the reverse can often be swift and violent. Neutral test days indicate nervousness and a possible change in trend and can be compared to key and hook reversals, as well as Japanese Candlestick engulfing patterns.

From various websites

(Category 1)

Trading Methods For Market Profile

Only trade in the direction of the trend (Trend is determined by a rising or falling Point Of Control /POC )

Trade setup #1a: In a down trending market, when the current session opens below the previous day’s Value Area /VA enter a short trade at the previous day’s lower VA and again at the previous day’s POC /HVL placing a protective stop for both trades 1.5 points above the previous day’s upper VA.

Trade setup #1b: In an up trending market, when the current session opens above the previous day’s VA enter a long trade at the previous day’s upper VA and again at the previous day’s POC /HVL placing a protective stop for both trades 1.5 points below the previous day’s lower VA

Trade setup #2a: In a down trending market, when the current session opens within the previous VA enter a short trade at the upper VA placing a stop 1.5 points above the Day Before Yesterday’s/DBY POC or High Volume Level/HVL (the open price must be at least 2 points below the previous days upper VA )

Trade setup #2b: In an up trending market, when the current session opens within the previous days VA enter a long trade at the lower VA placing a stop 1.5 points below the DBY’s POC /HVL (the open price must be at least 2 points above the previous days lower VA )

Trade setup #3a: In a down trending market, when the current session opens above the previous days upper VA and below the DBY’s lower VA enter a short trade at the DBY’s lower VA and again at the DBY’s HVL placing a stop for both trades 1.5 points above the DBY’s upper VA (if stopped out on this setup and price remains above the stop level, change directional bias for all category 2 trade setups for the remainder of the day)

Trade setup #3b: In an up trending market, when the current session opens below the previous days lower VA and above the DBY’s upper VA enter a long trade at the DBY’s upper VA and again at the DBY’s HVL placing a stop for both trades 1.5 points below the DBY’s lower VA (if stopped out on this setup and price remains below the stop level, change directional bias for all category 2 trade setups for the

remainder of the day)

Trade setup #4a: In a down trending market, when the current session opens above the DBY’s lower VA and below the DBY’s POC enter a short trade at the DBY’s POC and again at the DBY’s upper VA placing a stop 1.5 points abve the DBY’s High Of the Day/HOD (if stopped out on this setup and price remains above the stop level, change directional bias for all category 2 trade setups for the remainder of the day)

Trade setup #4b: In an up trending market, when the current session opens below the DBY’s upper VA and above the DBY’s POC enter a long trade at the DBY’s POC and again at the DBY’s lower VA placing a stop 1.5 points below the DBY’s Low Of the Day/LOD (if stopped out on this setup and price remains below the stop level, change directional bias for all category 2 trade setups for the remainder of the day)

Profit targets for all trades should be in consideration of the risk of each respective trade and should be placed in consideration of the previous days POC. VA or HVL

(Category 2)

Trading Methods For Market Profile

Category 2 trades are based off the current sessions VA. HVL and POC with profit targets of approximately 2 points (they will generally setup after steps 1 and 2 have occurred in the market profile ’s development)

When a Category 2 trade’s entrance level matches up with a previous days HVL It is referred to as a Category 2+ trade (category 2+ trades are generally good for 3 or more points)

Step 1 being vertical movement of price and step 2 being the capping of step 1

Step 1 will generally takes place during the Initial Balance /IB period of the day (the first 60 minutes) Step 2 often occurs during the IB period as well

Step 3 is when the market begins to move more in a horizontal direction than vertical direction and the bell curve begins to take shape

Step 4 is when the bell curve is becoming fully developed and its POC tries to drift towards the center of the IB. if it is not already in the center (occasionally steps 3 or 4 do not fully develop and the market enters step 1 again, this is known as minus development)

Minus development is very helpful in showing the direction of the market.

Online Market profile strategies

Pairs trading algorithms in equities markets

Pairs trading algorithms in equities marketsThought Leadership

Vice President, Algorithmic Trading Kenny Doerr

Director, Electronic Trading Desk Cindy Y. Yang

Quantitative Analyst, Algorithmic Trading

n equities markets, the concept of a pairs trade includes a variety of investment strategies. The investment models themselves range from simple to complex, yet all engage in the simultaneous purchase and sale of two securities with the goal of generating alpha while controlling risk. The inherent sophistication of such strategies makes order execution very challenging. A trader must not only seek liquidity for two stocks concurrently, but the liquidity sought for one stock is entirely contingent upon the available liquidity in the other. These challenges are addressed by many traders through deploying algorithms as an efficient and effective way to source liquidity, reduce transaction cost, and streamline workflow.

There are generally two categories of pairs trading: spread trade and switch trade. The former represents the strategies that attempt to profit from temporary dislocation in the relative valuation of underlying assets; the latter consists of swapping two instruments for purposes such as rebalancing portfolio holdings. These distinct investment needs result in two types of pairs algorithms with different trading objectives [1] .

In this paper, we first discuss the defining features for the spread trade and the switch trade. Then, as cross-market pairs have become a fast-growing investment strategy in recent years, we examine the special requirements for executing pairs across different countries. We conclude with a brief discussion on some new trends in pairs algorithms.

Spread Trade

A spread is derived from the price relationship between two assets; a relationship that can be defined in various ways. Spread trade algorithms are designed to detect changes in spread – narrowing or widening – and intelligently place orders when the spread becomes attractive for particular investment goals. For example, a merger/acquisition deal may lead to the long (short) of the target (acquirer) company shares with the expectation that an acquirer will later raise its bid; or a statistical arbitrageur buys and sells two co-integrated stocks so that she can profit from temporary price dislocation. The following features play an integral role in the algorithmic execution of spread trade.

Spread capture

While a pairs trade often involves complex models, well-designed algorithms should support three basic spread types noted in Table 1: price ratio, cash spread, and relative return. The spread should be monitored in real-time by algorithms, while underlying market access tools execute at target price levels. If and when the spread moves away, trading must be paused.

( returns to text) n equities markets, the concept of a pairs trade includes a variety of investment strategies. The investment models themselves range from simple to complex, yet all engage in the simultaneous purchase and sale of two securities with the goal of generating alpha while controlling risk. The inherent sophistication of such strategies makes order execution very challenging. A trader must not only seek liquidity for two stocks concurrently, but the liquidity sought for one stock is entirely contingent upon the available liquidity in the other. These challenges are addressed by many traders through deploying algorithms as an efficient and effective way to source liquidity, reduce transaction cost, and streamline workflow.

There are generally two categories of pairs trading: spread trade and switch trade. The former represents the strategies that attempt to profit from temporary dislocation in the relative valuation of underlying assets; the latter consists of swapping two instruments for purposes such as rebalancing portfolio holdings. These distinct investment needs result in two types of pairs algorithms with different trading objectives > .

In this paper, we first discuss the defining features for the spread trade and the switch trade. Then, as cross-market pairs have become a fast-growing investment strategy in recent years, we examine the special requirements for executing pairs across different countries. We conclude with a brief discussion on some new trends in pairs algorithms.

Spread Trade

A spread is derived from the price relationship between two assets; a relationship that can be defined in various ways. Spread trade algorithms are designed to detect changes in spread – narrowing or widening – and intelligently place orders when the spread becomes attractive for particular investment goals. For example, a merger/acquisition deal may lead to the long (short) of the target (acquirer) company shares with the expectation that an acquirer will later raise its bid; or a statistical arbitrageur buys and sells two co-integrated stocks so that she can profit from temporary price dislocation. The following features play an integral role in the algorithmic execution of spread trade.

Spread capture

While a pairs trade often involves complex models, well-designed algorithms should support three basic spread types noted in Table 1: price ratio, cash spread, and relative return. The spread should be monitored in real-time by algorithms, while underlying market access tools execute at target price levels. If and when the spread moves away, trading must be paused.

Online Pairs trading algorithms in equities markets

Trading strategies to exploit blog and news sentiment computer

Trading strategies to exploit blog and news sentiment computerTrading Strategies To Exploit Blog And News Sentiment Computer

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Investigating Predictive Power Of Stock Micro blog sentiment MISRC

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Intraday strategy by buying put and call option of same rate

Intraday strategy by buying put and call option of same rateIntraday strategy by buying Put and Call option of same rate

Intraday strategy by buying Put and Call option of same rate

I am doing paper trade on this strategy perhaps one of the straddle strategy. I am not an expert. From experts of option strategies I have request to kindly discuss this strategy.

In this my strategy I want to buy put and call options at same rate (nearly same premium ) say at Rs. 28 and Rs. 29 respectively. I give a stoploss of Rs. 5-6 gap to premium of unfavourable (less predictable) direction and simultaneously 10-11 point target to another favourable direction. Assuming Rs. 1-2 brokerage expenses. Can this strategy be worked daily to make profits consistently.

I neither have much time nor resources to devote to actually check this strategy movement. Those of u who have already followed it or know about it Kindly discuss drawbacks and failure points.

Perhaps failures may result where target is not reached because of rangeboud market and both side may go with minor stoploss gaps (Rs. 5-6 difference).

Online Intraday strategy by buying put and call option of same rate

Training and development strategy statement

Training and development strategy statementTraining and Development Policy Statement


SMFI Ltd. is committed to the development and management of a competent workforce that satisfies business goals and supports customers.


SMFI, its Board and Managers will:

Align a workforce development program where training and development is seen as a key activity within the business and where all employees are encouraged to participate in developing their own careers.

Provide learning opportunities and facilities to support Continual Development.

Implement performance reviews to identify company training needs and individual development plans.

Invest in People for the continual improvement of performance towards “Best in Class”.

Implement a training development strategy that focuses on long term development.

Follow a policy of promotion from within, where every employees contribution is recognised as essential to the efficiency and effectiveness of the organisation.

Manage and develop training activities via an annual training program that reflects individual, team and organisational needs.

Adhere to regulatory and legislative requirements and support existing company standards.


SMFI is accountable for all workforce development and requires its board and their managers to be responsible for training and development activities within their remit. All employees have a duty to inform their line manager of any training needs and continued professional development. All employees must apply the learning received toward their role and responsibilities.


Each Director is responsible to the Managing Director for the implementation of the policy within their areas of control.

Managing Director SMFI Ltd / SMF Asia Pacific Sdn Bhd

The mission of the Learning Development Division (L D) of Temple Universitys Department of Human Resources is to enhance the current and future organizational effectiveness of Temple University by increasing employees abilities to maximize performance. We are committed to supporting the continued growth and development of Temple Universitys most valuable resource, its people.

The staff of Learning Development carries out this mission by:

Cultivating Temple's workforce and enhancing Temple's organizational culture through professional development programs;

Promoting diversity to protect individuals from discrimination and harassment;

Assisting individuals in developing their interpersonal and managerial skills;

Responding to conflict issues within Temple's work units to facilitate performance management, foster team unity and productivity;

Improving the quality of work life and job satisfaction for employees;

Educating employees so they can best utilize the benefits, services, policies, and procedures of the University.

In our continuing efforts to meet Temple Universitys internal and external customers' needs, the Learning Development division of HR continually observes and assesses individual, departmental and organizational needs in order to:

Assist employees in their personal and professional development and advancement

Assist employees with resolving personal problems that impact work performance

Conceptualize, design and present training programs intended to motivate, challenge, strengthen and enlighten staff and to align professional skills with organizational needs

Enhance customer service

Enhance intra and inter department teamwork

Enhance workforce/organizational flexibility

Improve key interpersonal skills including communication, problem solving and conflict resolution skills

Improve quality and quantity of productivity

Increase employee commitment, encourage favorable attitudes, loyalty and cooperation

Lower or remove performance deficiencies

Lower turnover and absenteeism rates

Meet regulatory and legal requirements

Orient new employees to the University

Promote and support change and assist individual and departments as they adapt to change

Promote the valuing of diversity and prevent and correct discriminatory and harassing workplace behaviors

Reduce human resource complaints and litigation

Reduce workplace stress and burn-out

Share information related to Human Resources and other university policies and procedures Support institutional mission and strategy

Our Philosophy and Values

Learning Development is committed to the following values:

Quality Service - If we are to be credible in promoting excellent quality service as a University priority, we must practice what we preach. Therefore, we are committed to providing superior service. We strive to respond to requests for services in a timely, appropriate, and customer-focused manner.

Valuing Diversity - Temple University's strength and special character come from its rich diversity of students, faculty and staff. The University is enhanced by multiculturalism. We must treasure and cultivate our differences and similarities in an atmosphere of acceptance and respect.

Teamwork - Our University relies on the cooperative efforts of everyone. We must work together, solving, sharing our successes, and creating new visions.

Recognition of the Individual - Each person is an essential part of the team. We must strive to treat each other with dignity, trust, respect, and equality. We support open communication, involvement, empowerment, and recognition of excellence. Our staff, faculty, and administrators are Temples acres of diamonds and we welcome the opportunity to support their lifelong learning.


Reference:- Lauren Derman who can be contacted at fasset. za

Published in Equity Skills News Views

Volume 4, Issue 16, 31 August 2005 (used with permission)


The guideline document is divided into the following sections:



Considerations for writing an Education and Training Policy 3

The purpose of writing an Education and Training Policy 3


Introduction 4

Online Training and development strategy statement

Forex signs interview questions

Forex signs interview questionsFX Trader Interview

I applied online. The process took 5 days. I interviewed at Forex Signs (Beijing, Beijing (China)) in October 2011.

Junir Trader Program Interview


I applied online. The process took a week. I interviewed at Forex Signs (New York, NY) in August 2011.

The Junior Trader Program provides good training. However, after a week in the company you will definitely feel that this company needs further development. The receptionist disappeared the 3rd day. Junior staff, or interns appear very unprofessional. Very few senior staff were there. The company is a chaos.

Online Forex signs interview questions

Online trading investment simulator

Online trading investment simulatorWelcome to Smartstocks

Smartstocks is a free virtual stock market simulation game. You can trade real stocks using virtual money the same way you would trade real stocks using actual money with a genuine online brokerage account.

You will learn how to trade online and invest in the stock market without risking your hard earned money. You can test your new investment strategy before trying it out for real. Track the return of multiple online accounts in one place. Best of all, SmartStocks's fantasy stock market game is absolutely free.

You will receive $1 million of virtual money to invest as you see fit. Every 5 minutes rankings are calculated based upon the percentage increase or decrease of each user's portfolio. You can applaud the top 25 and poke fun at the bottom 25 traders.

Create a group for you and all of your friends to compete against each other. Each group member will be ranked according to their portfolio returns for the according to their portfolio return on their initial $1 million dollars. You can restrict membership to your group by selecting a password or making the group available by invitation only.

Wharton Learning Lab

OTIS, the Online Trading and Investment Simulator, allows students to buy and sell securities using real-world market data without risking real money. This hands-on learning environment allows students to apply the concepts and test the strategies they learn in class, while giving instructors complete control over the parameters of trading and access into their students' portfolios. View a demo of OTIS. For more information, visit OTIS. OTIS is available with any Addison-Wesley Finance title. OTIS is automatically included with Fundamentals of Investing, Eleventh Edition, by Lawrence J. Gitman and Michael D. Joehnk.

Online trading investment simulator

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Birney options forex free

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About Forex

Forex :These articles discuss currency trading as buying and selling currency on the Forex market, trading basics, tools and techniques, Foreign exchange, commonly known as ‘Forex’ or ‘FX’, is the exchange of one currency for another at an agreed exchange price on the over-the-counter (OTC) market.

About Binary Options

Binary options trading is the latest and most profitable financial instrument. In finance, a binary option is a type of option in which the payoff can take only two possible outcomes, either some fixed monetary amount of some asset or nothing at all (in contrast to ordinary financial options that typically have a continuous spectrum of payoff).

Forex Binary Options Strategy

If you want to successfully trade Forex binary options (that is, if you want to have fun and make profits) youll definitely need a Forex binary options strategy in place. Without a well-defined Forex binary options strategy in place, youll just be twisting in the wind, as they say. As with any other type of trading, youll need a strategy to make profits and keep losses at a reasonable low. A Forex binary options trading strategy is not a luxury, nor an affectation. A Forex binary options trading strategy that is pre-determined and well-defined is actually a necessity.

When youre new to determining your own Forex binary options strategy, the two already established strategies that you should consider are the non-directional strategy and the reverse strategy, as they are called. Each one of these strategies helps you define your approach to trading on the Forex, which in turn provides you with focus and clear concentration. Investing in the Forex market is not for those who think they can trade on emotional surges or mere guessing. While the Forex binary contract option is an amazing hedge against risk, its only for those who can apply some proven Forex binary options strategy and take advantage of proven techniques for success.

Reverse strategy is the easier of the two Forex binary options strategies to master. It is a very safe strategy, perfect for new Forex traders. Reverse strategy considers market behavior, and using it Forex traders look for certain signs that a pattern is emerging into an up or down price movement trend. Forex binary options traders then take their cue from this as to what positions to enter and for how long. Experienced Forex traders know that while these cannot be precisely predicted as far as timing, there are routine events that take place in the Forex market. These routine events typically have a powerful impact on the value of currency pairs. The smart trader using a proven Forex binary options strategy makes use of contrarian investing (reverse psychology, hence the strategys name) as he waits and waits for these events to take place and for the currency pair prices to subsequently stabilize; then, he enters his position(s).

The element of reverse psychology entails waiting until currency pair prices have dropped to the lowest level (approximately) and then purchasing a binary option contract. The idea is that when the lowest level is reached, the price is nearly guaranteed to rise very soon, and taking advantage of this by going long is the strategic move that is made.

Of course, the risks involved are: 1) the price may still not have bottomed out, even though it has appeared to have done so; and 2) by using a binary option with its pre-determined pay-out, profits may actually be lost (that is, diminished from what they could be) if the price rebound goes quite high relatively quickly. But there is no trading strategy or method without risk, and the risks here are small in comparison to those with other trading strategies. If your prediction proves correct, you win a nice pay-out, while if it proves wrong, you only have lost a relatively small premium.

Non-directional strategy is sometimes called range betting. This Forex binary option strategy seeks to enter a position depending upon the present market situation. When the currency pair market is unstable, there are particular events that typically take place. Quite often this means that the values of specific currencies suddenly drop, while the values of others suddenly shoot through the ceiling. Forex traders using this strategy determine how the prevailing currency pair market conditions are going to affect the immediate future value of a given currency, and they then go long or short on a particular currency that they have in their sights via a Forex binary option contract, depending upon the present market If a trader believes that the currencys value will not change much or at all in the near future, she holds off and waits for more change in the market conditions before entering any position (buying a contract).

The non-directional Forex binary option strategy often involves purchasing more than one contract at the same time in order to offset the effects of high volatility. Long and short positions on the same currency pair may be entered simultaneously, with the risk of losing the premium outweighed by the increased possibility of winning a pay-out. This is why the non-directional strategy should be tried only after youve gained some experience in the Forex marketplace: reverse strategy usually involves buying just one contract, whereas non-directional strategy works best with multiple simultaneous purchases. Non-directional strategy potentially offers both greater gains and greater losses, and its not as easy to understand, at first, as reverse strategy.

As far as knowing, or being able to intelligently guess, when the Forex market is about to rise, fall, or experience sudden turbulence, that knowledge comes with research and practice. Therefore, dont forget that you should first practice any Forex binary options strategy in a virtual account with play money!

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Blogs & Forum

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My trading strategies

My trading strategiesMy Trading Strategies

First, I should point out that there is nothing radical in what I do to trade currencies. There is no magic to be successful; just patience, training and hard work. The stories of quick wins and easy money really are fantasy!

When do I trade?

I Trade from 07:00 to around 15:00 UK Time. I rarely place trades before 08:00, when London officially opens. I wont place trades overnight; I will close trades before New York closes. I am an intraday trader.

What Do I Trade?

I trade really just 3 USD crosses. EURUSD, GBPUSD and AUDUSD and the JPY crosses of the same. Not at the same time but look for the best setups on each pair each day. I trade just 6 as it keeps me focused Moving over many pairs quickly is no way to get a good handle on what is happening deeply.

How Do I Trade?

I look at Weekly > Daily > 4H > 1H > 30M, Charts

I use the higher timeframes to make my trend lines and horizontal price support lines.

I use the 4H and 30m to trigger my trades from

What Indicators Do I use?

I use candlestick charting and I like to keep my charts clean with just useful unique information.

1) Trend lines from 1W/1D/4H

2) Horizontal Lines of price support

3) Daily, Weekly and Monthly Pivot Lines

4) Half an eye on MACD – just as a double check for Divergence (you can see it from Price action anyway)

What is my trade strategy?

I use a combination of a few and all based around bounces or breakouts of price action..and candlestick and pattern formations.

1) 1-2-3 Snapper Trade over Important Areas of price Action

Here I like to see the price swing over a Daily Pivot or Major Price Support/Resistance area. I will then take a trade in the direction of the major (4H) trend.

If I miss the action from 1) above then I will wait for the price to take its course without me and then wait for the pull back to a point of support/resistance with the right candle patterns to like a reversal bar of somekind.

I like to trade for 1:1 Risk: Reward. So if I risk 30pips I am targeting 30pips minimum return. That means if the logical stoploss is 60pips away, I won’t take the trade. If the logical target price is less than 1:1 distance then I won’t take the trade.

Look at some of my many trades pictures I have on this blog to get an idea.

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Product Description

Product Description

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Dts(development&training strategy)

Dts(development&training strategy)In the technology world Knowledge is Power and Ignorance is Pain.

At DTS we understand that the job is not done until our clients understand how to run and maintain their systems the best way possible. Knowledge transfer is something we always strive to achieve during all our contacts with our clients, but formal training is often called for. Having several qualified technical trainers on staff lets us recommend the right training regimen for every situation. We find that actual consulting experience for the trainer is often equally as vital to successful training as are presentation skills.

Discipleship Training School (DTS)


Discipleship Training School (DTS)

The Discipleship Training School (DTS) seeks to bring you into a more intimate relationship with God. It also gives you an opportunity to discover your passions and your part in God’s purposes for the world. It is for those who long to follow Jesus in new ways with a different perspective.

The course is a full-time program and lasts five or six months. It consists of two parts: lecture phase and outreach phase. In the lecture phase, you will learn more about God and His world. You’ll learn not only from lectures but also from community living and practical training. The outreach phase focuses on applying what you learned in the classroom through an intense, cross-cultural experience.

You can apply for the DTS at over 200 YWAM locations all over the world. Many offer a special focus on a specific interest, an area of service, or a nation. The “Crossroads” or “All Ages” DTS meets the needs of students over 30, such as second-career people or families with children.

DTS is the prerequisite for not only becoming YWAM staff. but also for YWAM’s second-level training. Most DTSes are registered with YWAM’s University of the Nations .

To find out more or to apply, use the search box below. Type in the country or special focus that interests you. When you click on any DTS, you’ll see a Contact Us button to apply to that DTS or get more information.

To learn more about the DTS, read the pages below or watch this video from YWAM Tyler, USA.

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FXOpen does not provide services for United States residents.

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Forex zig zag strategy

Forex zig zag strategyForex Zig Zag Strategy

The actual Zig Zag indicator works like a filtration system with regard to directional modifications within cost actions. Specialized experts as well as Forex investors utilize the actual Zig Zag filtration system to get rid of unneeded sound in the cost graph; the actual objective is actually to pay attention to the key developments, not really minor variances. This particular indicator is actually much less driven compared to a number of other specialized resources and really should in no way behave as the buying and selling program by itself. Rather, the actual Zig Zag indicator is better accustomed to emphasize essential designs as well as verify feasible pattern reversals.

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Be awinner in the forex masters contest!Risk Warning . Trading оn margin carries a high level of risk to your capital and may not be suitable for all investors. You may lose more than your initial investment! Ensure you fully understand the risks involved and seek independent advice if necessary.

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