Building apc for discretionary

Building apc for discretionaryBuilding a PC for Discretionary/Automated Trading and Strategy Development




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Trading strategies course by ryan cooper

Trading strategies course by ryan cooperTrading strategies course by ryan cooper stock broker jobs atlanta enlisted company dhaka stock exchange what are some good ways to make money online

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Online Trading strategies course by ryan cooper


Trading-vanilla-optionsTrading vanilla options

The standard call and put options (also called vanilla options) that are found on the major exchanges are different from exotic and binary options.

Buying and selling a vanilla option

An investor who buys a call option buys the right to buy a specific amount of an underlying security at an agreed upon strike price (the strike price is the price at which a contract may be exercised until the expiration date), if he buys a put option, he buys the right to sell the underlying security before or upon expiration.

An investor who sells a call option or who emits an option is obligated to comply with the contract's clauses. If he sells a call (an option to buy), he will have to sell the underlying security at the strike price. If he sells a put (a an option to sell), he will have to buy the underlying security at the strike price. The contract can be exercised by the buyer at any time up to the maturity date, the option's issuer or seller therefore has no control. However, if the buyer decides to not exercise his option, and instead prefers to sell it at the going market rate, the issuer can buy the contract back to cancel his obligations and close the transaction.

There are two types of options

American options . the option can be exercised at any time until expiration.

European options . the option can only be exercised at expiration.

American-type options tend to be more expensive than European-type options, because they offer more possibilities. Almost all of the stock options traded on the market are American-type. Index options can be issued either as American-type options or European-type options.

The premium of a vanilla option

The seller of an option earns a premium, but the potential for loss is unlimited.

The price of an option is limited to the premium. Options therefore offer a significant leverage effect, in the below example the investor pays a 200-euro premium even though the price of 100 shares at 20 euros is 2000 euros.

Example of a vanilla option transaction (CALL)

Option to buy (CALL) of a share of XX (American-type option)

Amount: 100 shares of XX

Expiration date: 30/08/2013

Exercise price (Strike): 20 euros

Premium: 2 euros per share

In this case, the buyer of a call option pays the premium (2€ * 100 shares) in exchange for the right to buy when he wants up until 30/08/2013, 100 shares of XX at an exercise price (Strike price) of 20 euros per share.

During the life of the option, there are three possibilities:

The price of the share falls down to 15€: the option is out-of-the-money . the buyer has no reason to exercise his right, he loses the premium (100 * 2€ = 200€).

The price of the share remains at 20€, the option is at-the-money . the buyer loses the premium (100*2€ = 200€).

The price of the share climbs to 25€, the option is in-the-money . the buyer makes a profit from which he must deduct the premium (100*25€ - 100*20€) - (premium 200€) = 300€ profit. He can sell his call to close his position or exercise the option to buy 100 shares at 20€.

This example indeed shows that the buyer's maximum risk is limited to the premium.

The seller

For the seller, the risk is different:

If the option is out-of-the-money . the seller earns the premium and doesn't have to buy the shares, since the buyer is not going to exercise his right.

If the option is at-the-money . the seller earns the premium if the buyer doesn't exercise his option.

If the option is in-the-money and the buyer exercises his option, the seller must buy the 100 shares at the 25€ exercise price even though the market price is 20€. He therefore loses (100*25€) - (100*20€) + (premium 200€) = -300€.

The seller's profit is therefore limited to the amount of the premium and his potential for loss is unlimited.

A hedging tool (Purchase of a PUT)

Options are particularly effective to protect a stock portfolio against a decline in the stock markets.

Buying a PUT guarantees a selling price for the investor. If stock prices drop, he will be able to sell his shares above market prices.

In the event that stock prices rise, the investor can elect to not exercise his put options, he will simply lose the premium paid to purchase these options.

Buying a put option is like buying insurance against the depreciation of one's securities, and the cost of this insurance is limited to the price of the premium.

Books on options trading

Get rich with options

Online Trading-vanilla-options

Stochastic oscillator trading strategy pdf

Stochastic oscillator trading strategy pdfStochastic Oscillator

Step stochastic indicator is on this post. This is the only correct (non-repainting, non-deformed) version of step stochastic that exist in any platform.

Divergence using Stochastic . some general information about it was collected on this thread forex-tsd/indicators. indicator. html and some of them are on this post .

painting the past . Stochastic is not paiting the past. But we need in some systems for this indicator to be painted the past. Read some exotic explanation/request forex-tsd/manual-tra. system-58.html

how to understand the price movement using 3 Stochastic indicators .

- template attached (M5 timeframe). It was taken from asctrend M5 informational template from elite section here .

- some other informational templates about price movement understanding are here .

Multi Timeframe Stochastic :

- MTF stochastic momentum indicator is here ;

- Stochastic_Standard_4TF_cja updated indicator: this post .

Stochastic with alert is #MTF_Stochastic1.1 with alert is here ; #MTF Stochastic with alert is here ; stochastic with alert EA is here. stochastic with alert thread .

- Many Stochastic indicators in one page collected . is here .

StochHistogram indicator is here .

- StochHistogram indicators with alert (2 indicators) are on this page .

At this page you can find a strategy or system that is easy to follow with your daily trading schedule

and that can be applied successfully with your account balance size and download MT4 Forex indicator

that can be attached to the MetaTrader Forex trading platform

to boost your Forex trading performance.

100% Free - Stochastic Oscillator Trading Strategy - it's an interesting system with a rather low fail rate.

It's based on a standard Stochastic Oscillator indicator, which signals a trend fatigue and change.

That means that you will almost always enter on pull-backs, guaranteeing rather safe stop-loss levels.

Simple to follow. Only one standard indicator used. Safe stop-loss levels. Take-profit level isn't optimal.

Strategy Set-Up

Any currency pair and timeframe should work. But longer timeframes are recommended.

Add a Stochastic Oscillator indicator to the chart, set its %K period to 14, %D period to 7 and slowing to 7, use Simple MA method.

Entry Conditions

Enter Long position when the cyan line crosses the red one from below and both are located in the bottom half of the indicator's window.

Enter Short position when the cyan line crosses the red one from above and both are located in the upper half of the indicator's window.

Online Stochastic oscillator trading strategy pdf

Forex trading jobs uk all trusted brokers in one place

Forex trading jobs uk all trusted brokers in one placeForex trading jobs uk. All Trusted Brokers In One Place

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Objective of training strategy

Objective of training strategyAligning Six Sigma with Objectives and Strategies

Henry Killackey 0

In a well-managed business that has implemented Six Sigma, the organizations objectives and strategies and continuous improvement are all closely aligned. Organizational objectives enhance the efficacy and importance of Six Sigma initiatives. And Six Sigma specialists can play an integral role in ensuring the execution of strategy.

In many organizations, however, there seems to be great confusion between strategy and objectives. Senior-level strategy meetings, as rare as they are in organizations, are often disrupted by the topic of objectives and, as a result, an understanding of corporate strategy is never realized. The execution of strategy is necessary for an organization to get to the place where it desires to be. Without an understanding of strategy, execution becomes an impossibility.

Strategy Versus Objectives

So what is the difference between strategy and objectives? Objectives are the goals that the organization strives to achieve. They are reflected in performance metrics, strategic plans, mission statements and anyplace where employees need reminding of the importance of their work. The strategy is the action plan that is going to enable the organization to achieve its objectives.

As an example of the relationship between objectives and strategies, here is an objective and its companion strategy:

Objective: Increase the number of e-newsletter subscribers who sign up online each week by 15 percent.

Strategy: Make signing up for the e-newsletter online a one-step process, instead of a process that requires a signup step followed a confirmation step later when the e-newsletter arrives. (And the success of the strategy will be measured by comparing the average number of new subscribers each week for the three months before the process change to the number of new subscribers each week for the three months after the change.)

Too often strategies are not executed because they are not understood. According to the Balanced Scorecard Collaborative, an educational, training, research and development firm, nine out of ten companies fail to implement strategies and 85 percent of executive teams spend less than one hour per month discussing strategy. With this lack of regard for strategy, it is no wonder as to why organizations do not achieve their objectives.

But when an organization is able to clearly establish its strategy, the entire process of implementation begins with the communication of strategy through senior leadership. Senior management must communicate the strategy to the organization, justify the strategy and establish buy-in for the strategy. Communication is a process that begins with the top of the organization and goes to the bottom.

However, the actual process of strategy execution begins with the bottom of the organization. Employees within the organizational silos perform the activities that comprise the strategy. It is through the daily activities of employees that an organization can achieve its objectives. So, just as executives play a crucial role in formulating and communicating strategy, employees are essential in executing strategy.

The Strategic Role of Six Sigma

Organizational objectives can enhance the efficacy and importance of Six Sigma initiatives. While strategy is executed to achieve objectives, Six Sigma specialists can play an integral role in ensuring the execution of strategy.

Objectives can give the utmost priority to specific Six Sigma projects. For instance, if an organization wants to improve customer satisfaction by 25 percent, Six Sigma projects related to the voice of the customer can take priority and become an important part of the organizational strategy of achieving the customer-related objective. To become a part of strategy execution in this case, Six Sigma professionals could develop customer surveys, test questionnaires, gather customer data, analyze data and establish focus groups to name a few activities. Also, some old projects can be given new life through corporate objectives. Ideas for projects that have never been supported by a Champion can be reintroduced and possibly gain support through the relevance of new objectives. By letting organizational objectives align with Six Sigma projects, Six Sigma professionals can serve as leaders in showing employees how to execute strategy.

Also, to improve the process of Six Sigma project selection for Champions and Master Black Belts, Six Sigma professionals can align the needs established by organizational objectives with Paretos Principle, or the 80-20 rule. Through incorporating factors such as savings, probability of success, cost and time of completion, Six Sigma professionals can find the essential 20 percent of projects that can generate 80 percent of the results that are necessary for achieving objectives. While objectives can guide Six Sigma professionals to the right type of projects, logic-based premises such as Paretos Principle can assist in the identification of the specific projects that are necessary for success.

While Six Sigma professionals are traditionally known for demonstrating cost savings, they also should be regarded as those who execute strategy. By building the process of project selection around the most immediate organizational objectives, Six Sigma professionals can enhance the importance of their own work and optimize their contribution to the organizations success.

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Online Objective of training strategy

Indijskaya rupiya

Indijskaya rupiyaCalculate INR forex rate to usd dollars, eur euros, gbp pounds

Forex rate now gives you the free currency converter to Calculate Indian Rupee (INR) to usd dollars, eur euros, gbp pounds. Do you also want to exchange more currencies like Indian Rupee (INR) to us dollars, euros, british pounds, indian rupees, japanese yen and chinese yuan? Feel free to use our latest forex forecast and trend quotes to calculate currency rates with Indian Rupee (INR) to United Arab Emirates Dirham(AED), Australian Dollar(AUD), Bitcoin(BTC), Canadian Dollar(CAD), Swiss Franc(CHF), Chinese Yuan Renminbi(CNY), Euro(EUR), British Pound(GBP), Hong Kong Dollar(HKD), Hungarian Forint(HUF), Indian Rupee(INR), Japanese Yen(JPY), Malaysian Ringgit(MYR), New Zealand Dollar(NZD), Singapore Dollar(SGD), US Dollar(USD), South African Rand(ZAR) are also given for money conversion to other currencies. If you still need INR calculation and INR forecast, please click the INR calculate, INR converter and INR forecast links.

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You can discover new and valuable trading strategies for shares,futures,cfds-forex from one of t

You can discover new and valuable trading strategies for shares,futures,cfds-forex from one of tYou Can Discover New and Valuable Trading Strategies for Shares, Futures, CFDs Forex from one of the Best in the Business

Back by Popular Demand, 40 Year Trading Master Author Day Trader: Jake Bernstein Reveals his Time Tested Methods TRADES LIVE at the Seminar!

Melbourne Sunday November 1 to November 3 2009

(because we will be trading Monday we will finish early hours of 3rd)

In July 2006 David Hunt of ADEST enjoyed attending Jake Bernstein's TRADERS ROUND TABLE in Chicago USA and watched him trade Live.

We like to make sure our speakers walk their talk and can and do trade.

Jake taught his methods over the weekend and then traded live in front of us using the methods he taught.

The markets traded like ClockWork according to the rules he gave us. Jake Bernstein Made Money Trading at the Seminar.

Now you can be there in Australia to LEARN AND SEE Jake trade live.

The content. exceeded my expectations. yesterday's market action was excellent confirm of how effective some of your methods can be Jason R. Professional Trader and Hedge Fund Manager September 2006

Dear Trader:

In the 1980's I was among the first traders to pioneer real-time trading seminars.

Now I plan to break into new high ground!

I will present the ULTIMATE Real-Time, Short-Term and Day-Trading Seminar.

My 3-Day Real-Time Day-Trading Seminar will leave nothing to your imagination.

Everything you learn will be SPECIFIC, CLEAR, UNHEDGED and CONCISE. Never again

will you have to sit and think too long about what trades to make, when to make them,

when to get in, when to get out, or when to add to your position, or what stops to use.

I Will Teach You No Less Than 4 Fantastic

Short-Term and Day-Trading Systems

On Sunday Monday you'll learn the system signals and rules.

Then on Monday, I will trade these systems as you watch and learn.

Trade against me if you dare!

I will use REAL MONEY and make REAL TRADES.

exactly according to the methods you'll learn on Saturday and Sunday.

There is No Better Way To Discover

As a veteran trader, teacher of futures trading, author of more than 38 books, systems

developer and market analyst, I've learned what works and what fails.

My experience spans nearly four decades.

I have taught traders throughout the world.

Due to their specificity and international popularity my books have been translated

into several foreign languages.

Discover how to day trade with confidence and consistency --

attend this valuable seminar.

Space is Strictly Limited--First Come-First Served -- No Exceptions!

I reserve the right to refuse admission to my competitors. In order to provide you with

the intensive training I offer I must limit the size of the class. Space is limited.

The cost of my super intensive 3-day Real-Time, Short-Term and Day-Trading Seminar is nothing compared to what I have seen people charge for seminars where they taught just one idea! And its minute compared to what you can lose in the markets if your are unprepared!

Jake Bernstein

PS For My Australian Students I will reveal a technology that allows you to test Seasonal Patterns in the Aussie ASX Share Market for the first time ever!

PPS This comes with a No Questions asked Money Back Guarantee - attend up to morning time Day 1 and if you don't think its worth your while - hand back all the materials and we will give you all of your money back. Not applicable if DVDs are received before seminar.

Most traders suffer from common thinking.

In the markets, common thinking will get you common results.

COMMON RESULTS means that you WILL lose money!

--Jake Bernstein

I have more than doubled my account in less than 4 months

I am still amazed every day at how my account is growing

John C. New Jersey Student at Real Time Trading Seminar (Source Jake Bernstein Website)

Jake Bernstein is a Day Trading and Seasonal Trading Expert on Market Cycles and international best selling author.

I 'll Put my Own Money on the Line

Yes, I have confidence in my methods. To show you how the methods work in real-time Ill trade live for 3 full days while you watch. Youll see what I taught you come to life before your very eyes. Will I make money or lose money? There are no guarantees but you WILL SEE EXACTLY how to put all my methods into action. There is NO BETTER WAY TO LEARN. Youll see how the trades are set up, how they trigger and how we follow through. And, NO, THEY WONT ALL BE DAY TRADES!

Pay me to Teach you or Pay the Markets with Losses

Yes. It sounds harsh but its true.

Over the years so many traders said: Jake, I wish I had listened to you many years agoit would have saved me from taking so many unnecessary losses or I loved the seminar, it opened my eyesI only wish I knew all of this when I first started trading. Lets face it trading isnt easy and profits are never a sure things but KNOWLEDGE, particularly from someone who has been in the markets

in many different aspects for nearly 40 years, can help you immensely! If youre truly

Using the methods I'll teach you on Saturday and Sunday, I'll place real trades on

Monday. You'll see me place orders and most importantly - you'll know WHY! I'll be using

the Genesis Navigator™ projected on a large screen. You won't miss a thing.

Whether you trade stocks, commodities or Forex, the answers are the same.

You need a solid structure, an effective methodology or system and the

psychological ability to put everything into action.

I will show you how the whole process works from start to finish.

When thedays are over you'll leave with an arsenal of tools

that will take you to the next level and well beyond.

What Makes my Seminar Different from the Rest?

100% OBJECTIVE! There won't be any looks like, could be, 'seems as if, or any of the many words and phrases that are used in virtually all other seminars and by so many experts.


you will always know your entry and exit strategies, and you will never be in

doubt as to what to do. I respectfully suggest that if you have to interpret

ANY TRADE or pending trade then you are opening the door to a possible

error. While my methods won't always be right and although my methods do take

their losses when necessary, you will NEVER be in doubt as to when to take a profit or

a loss or what to do. My work is precise, specific, totally objective, clear, concise, and


Stocks, CFDs Futures, or Forex


$2500 in Trading Tools and Systems

As my bonus to you, you'll get the following

• A Totally NEW completely objective computerized TRADING SYSTEM that runs

under the Genesis™ Navigator software. This system will only be available to seminar

attendees and will NEVER be available to the public.

Normally it would sell for $3500 or more.

• The Jake Bernstein Indicator Library for Genesis™ Navigator. This library

automates virtually all of the indicators and methods you'll learn at the 3 day seminar.

It's a $495 value.

Just a Few of the Many Things You'll Discover

· How To Day Trade Currencies, SP, TBonds and Energy Futures

· Risk Management -- Stop Loss Placement -- Trailing Stops

· Short-Term Spread Trading in Currencies

· 6 Specific Short-Term and Day-Trading Systems

· The Psychology of Trading

· How to Find and Use Intraday Support and Resistance

· How to Take Advantage of Fundamentals

· Short-Term and Day Trading in Trendless Markets

· How to Use Orders to Your Advantage

There's nothing like learning from a seasoned veteran - A Message From Jake Bernstein.

As you may know, I made my first trade in the 1970's.

Since then I've not only accumulated a VAST amount of experience in trading, but I've also developed some HIGHLY EFFECTIVE methods for trading stocks and futures.

I'm glad to say that some of my clients include the biggest names in the trading business .

Why? Because they value the market information and methods I give them! Whether youre new to the markets, or an experienced trader, I believe that you can benefit substantially by spending 3 intensive days with me, learning AND illustrating my trading methods while the markets are open on Monday.

Yes that's right.

I'll teach you then put my own money on the line showing you how the strategies work in real time.

Literally thousands of traders all over the world have attended my workshops and seminars and loved them. The feedback has been phenomenal! In fact, here's a trade that was triggered by only one of the 5 methods I'll teach you at the RoundTable

Why a Trader's RoundTable?

In the past, my seminars have been run like classrooms.

I teach VERY SPECIFIC, 100% objective systems and methods. Then I apply them in real time while attendees watch. The Traders Round Table (TRT) will be very different. After you learn my methods on Saturday and Sunday, I will ask all of you to participate the decision making process.

Here's another trade example using one of the methods I will teach you.

Some comments from recent Jake Bernstein Seminars:

Tremendous seminar! Thanks for all the great info, and keeping it simple. Keep doing what youre doing, especially with your sense of humor!—DW

Thank you for sharing your education with us. Youve opened the world of trading for us.

Youre the Best!—C

Thanks again for a great course. Every time I attend, I get so much more. Thanks—D

You are awesome Jake! Thank you so much for sharing so many of your methods All the best! —K

Thanks—you make it easy to understand. —G

Absolutely incredible! This trip has been very interesting from start to finish to say the least. You are a wonderful teacher— and I have had many. I look forward to sending you my own success story e-mail.— T

I was so lucky to be here— Learning from the Master!

Thanks for sharing the light!—P. J.

Thanks for the super course— Its been very educational.— J.

Dear Jake,

Thanks you for unselfishly imparting your wisdom to us for 3 days.

It was very nice to meet you and very enlightening for us.

I particularly appreciate your simplifying trading for me.

I tend to complicate it by over thinking.

Thanks again Best wishes

Online You can discover new and valuable trading strategies for shares,futures,cfds-forex from one of t

Trading strategy(stock market)

Trading strategy(stock market)Trading Strategy (Stock market)

Current Japanese Yen levels looks overstretched. The last time that the Japanese Yen was float ing below the 80.00 level was back in March 17 2011. The Japanese Yen seems to have a wall of support below the 76.

(Same logic inverted applies to tests of Support ).

The correct

therefore includes alternatives based on what happens next.

. This strategy examines pairs of instruments that are known to be statistically correlated. For example, consider Shell and Exxon. Both are oil stocks and are likely to move together.

On this page you can see how to apply a Forex swing trading strategy. You can use the same principles for any time period.

- How To Turn Small Trades into Huge Trades.

Since the COT comes out weekly, its usefulness as a market sentiment indicator would be more suitable for longer-term trades.

Online Trading strategy(stock market)

Wyckoff trading method forex

Wyckoff trading method forexWyckoff trading method forex

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wyckoff trading method forex . how a put option trade works

Methods are still being used today by forex can by: on january. friday stock market close Developed by the basic trading service us ## find. – we have discovered that. wyckoff trading method forex Of exclusive where. seem that. 24-hour forex market science and made millions from.

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Forex trading simulator

Forex trading simulatorForex trading simulator

Practice makes one perfect. A novice learn and slowly expertise on his work with regular practice. Even an experienced intellectual has to practice to further hone his skills. It is sort of simulation that needs to be performed before making any important decision. Practically, people tend follow a pattern while ultimately doing things.

Forex trading is one of the oldest and ever evolving businesses in the world. Forex trading is risky like stocks trading. People exchange currencies in an open market based on respective country's economic performance. The most commonly traded currencies are known as "majors". They are in pairs as currency trade is simultaneous buying and selling of two different currencies. They are EURUSD, USDJPY, USDCHF and GBPUSD. With the advent of new age software technology, every business is using it to leverage their processes. Software applications let officials make wise decisions. Their people work faster and business grows exponentially.

Forex trading simulator is one of the software that enables one to go back in time and buy or sell currencies. It feels as if everything is happening in real world. But actually, people play with virtual money. It indirectly saves a lot of money as people are confident while they go for actual forex trading. They decide based on their simulator experience. One can really loose lot of money if decisions are not based on good understanding and practice. Simulator also testifies one's strategic decisions made while buying and selling currencies. This is a tool to educate one to expertise on strategies applicable for real world forex trading. In general it takes nearly six months to fully understand all scenarios of the simulator and trading. The efforts must be disciplined and as guided by the program to get full out of the software.

Basic feature in currently available simulators is it allows user to log his trades using screen shots for further future analysis. This feature enable user to improve his trading performance. He can compare screen shots to evaluate his performance. He can add comments to a snap shot. Another feature is to draw fibonacci retracement, times zones, basic trend lines along with plotting multiple time frames. These are important to foresee trends and possibilities. There are various indicators like RSI, MACD, stochastic oscillator, CCI, moving averages, Darvas boxes and daily/weekly pivot points that can be used for analysis. Countries' economic data coming out as announcements or news is a big market mover. Forex Simulator software providers offer options to enable the software react to economic news announcements. User may subscribe to software data downloader. He can gain further knowledge on how currencies move on specific economic news flow. As he gets more familiar with the simulator, he starts understanding trading signals and recognizes patterns. This is a perfect tool advised to all who are starting as well as actively doing forex trading.

Not all applications are perfect for all users. With all exciting features, there are certain limitations to the currently available simulators. But, software does modify as need arise and with time simulator too will be a perfect one for all forex traders.


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Forex Trading Simulator

Forex Trading Simulator is a simple and easy to use forex tool that contains many trading tools such as allowing the users to view multiple tools to customize the trading strategy. Also the application displays 20 currency pairs in a different window, contains hedging with margin exclusions, trading alerts and Pip and margin calculators.

This application is for practice trading purposes only. It is simply an application that enables the user to practice trading forex.

You can get Forex Trading Simulator for free; just fill out a simple form for their demo account. They will email you a login ID and password for you to download the application.

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Forex-dollar drops on china-linked risk aversion,euro climbs

Forex-dollar drops on china-linked risk aversion,euro climbsFOREX-Dollar drops on China-linked risk aversion, euro climbs

* Growth worries seen delaying Fed hike

* Euro tops $1.13

* Dollar index at 8-week low (Adds New York trading, quotes and changes byline and dateline; previous LONDON)

By Michael Connor

NEW YORK, Aug 21 (Reuters) - The dollar fell broadly on Friday, dropping to a two-month low against the euro, as weak factory data from economic giant China added to doubts the Federal Reserve will raise U. S. interest rates next month.

Chinese manufacturing activity shrank at its fastest pace in 6-1/2 years in August, compounding investor concerns over slowing growth in the world's No. 2 economy and its potential impact on global growth.

Markets had been reckoning that a solid U. S. economy could prompt the Fed to raise rates for the first time in nearly ten years as soon as September.

However, weak Chinese data, sliding commodity prices and unconvincing U. S. inflation data have poured cold water on expectations of a near-term U. S. rate hike. Higher rates would raise borrowing costs for consumers and companies, possibly hurting spending and economic growth.

The euro, which is used as a "funding" currency borrowed to buy riskier but higher-yielding emerging market currencies, topped $1.13 as investors reversed such trades and bought it back. That level for euro, last trading against the dollar at $1.1282, was last seen in late June.

The dollar index of major currencies traded against the greenback was down for a third day and off 60 percent to 95.40, the lowest since June 30.

Against the yen, which is also used as a funding currency and is a more traditional safe haven, the dollar fell to its weakest in six weeks, down 0.7 percent on the day at 122.46 yen.

"Receding expectations for the Fed to raise rates at its coming meeting on Sept. 16-17 wields the potential to weaken the dollar further over the short run," said Joe Manimbo, senior market analyst at Western Union Business Solutions in Washington. "However, a door seen as still ajar to a move next month should help limit losses in the dollar."

Data showing euro zone business growth unexpectedly accelerating this month gave the euro a brief boost, but most investors reckon external factors are more important drivers at the moment.

"The best thing you can argue is that the market had a significant underweight euro position, and over time, that position is being squeezed out - risk aversion means people are being forced to reduce positions," said Paul Lambert, fund manager Insight's head of currency investment in London. (Additional reporting by Jemima Kelly in London and Masayuki Kitano in Singapore; Editing by Bernadette Baum)

Online Forex-dollar drops on china-linked risk aversion,euro climbs

Learn f&opart1

Learn f&opart1Learn F&O. PART 1

There is a whole world of financial securities other than stocks and bonds. One of such securities is Derivatives, which are financial instruments whose “value” are derived from the value of the underlying. Hence, they are called “derivative” i. e. derive from something else. The underlying on which derivative is based could be:

Asset: e. g. stocks, bonds, mortgages, real estate, commodities, real estate properties.

Index: e. g. stock market indices, Consumer Price Index, Foreign Currencies and interest rates

Other items: e. g. Weather (yes - you will derivatives written on rain!!)

For example a derivative on a stock derive its value from the value of underlying stock! There are three main types of derivatives: Forwards (similar to Futures), Options and Swaps. Futures are very similar to Forwards except for the fact that Futures are traded on exchange while Forwards are traded over the counter (OTC). In this article I am going to concentrate only on Futures (F) and Options (O). So whenever you come across any article on FO or any reference to it, remember it means Futures Options.

Why do we need derivatives?

Derivatives are used to either

1. Hedge the risk i. e. lessen the risk which may arise due to changes in the value of underlying This is known as “hedging”.

2. Increase the profit arising from the changes in the value of underlying in the direction they expect or guess This is known as “speculation”.

Hence, there should not be any misconception that derivatives or FO are used only by speculators to make money. These are extremely useful financial instruments which are used by corporate or individuals to mitigate their risk. But unfortunately same instruments can be used by speculators to make money. One simple example is nuclear energy. People can use it to generate 1000s of MW of energy for peaceful purpose whereas others can use the same nuclear energy to make nuclear bombs for mass destruction. Is it fair to blame nuclear energy for this? We cannot. So if you want to blame someone, blame speculators and not derivatives.

How hedging works?

Assuming that our readers are not speculators, I will focus on how futures or future contracts are used for hedging. Suppose I am a petroleum distributor whose job is to sell petroleum products such as Petrol and Diesel in the market while you are an airline owner, I am in the business of selling petroleum while you are a J say Mr. Vijay Mallya net buyer of petroleum products. I will be concerned with drop in prices of petroleum because that would hurt my revenues and profit margin. This is because I am selling petrol, right? While you, an airline owner, would be concerned with any increase in prices of petroleum because it would increase your costs. Thus we two have a common concern uncertainty in the price of petroleum products.

To reduce our risk and buy a peace of mind, we will sit together and fix a price of petroleum to be sold in the future. Thus, I have reduced the risk of prices going down while you have reduced the risk of prices going up. This is called hedging.

FO Market in the US and India

You would be surprised to know that the volume of FO trade is much more than volume of stocks trade in the world. This shows the sheer popularity of FO instruments among investors. In the US futures are traded primarily on CME (Chicago Mercantile Exchange), which is the largest financial derivatives exchange in the United States and most diversified in the world. CMEs currency market is the worlds largest regulated marketplace for foreign exchange (FX) trading. In the US Options are traded on CBOE (Chicago Board Options Exchange).

In India Futures and Options are traded on both BSE and NSE. The market hasnt developed to its potential yet due to lot of political and regulatory issues. Hence, the size of derivatives market is much smaller in India as compared to those in developed worlds.

Forward Contract vs. Futures Contract

While futures and forwards are both contracts to deliver an asset at a fixed (pre-arranged) price on a future date, they are different in following respects:

Let us now focus only on Future contracts, which are an agreement between two parties to buy or sell an asset (underlying) at a given point of time in the future. They are standardized contract i. e. an agreement, traded on a futures exchange, to buy or sell a standardized quantity of a specified commodity of standardized quality at a certain date in the future, at a price (the futures price) determined by the parties involved. The future date is called the delivery date or final settlement date. The official price of the futures contract at the end of a day's trading session on the exchange is called the settlement price for that day of business on the exchange.

I have assumed that no cash settlement was done between the two parties. A futures contract gives the holder the obligation to make or take delivery under the terms of the contract. Also both parties of a futures contract must fulfill the contract on the settlement date it is legally binding. The seller delivers the underlying asset to the buyer, or, if it is a cash-settled futures contract, then cash is transferred from the futures trader who sustained a loss to the one who made a profit. Money lost and gained by each party on a futures contract are equal and opposite. In other words, a future trading is a zero-sum game.

Future prices are not definitive statements of prices in the future. In fact they are not even necessarily predictions of the future. But they are important pieces of information about the current state of a market, and futures contracts are powerful tools for managing risks.


I will discuss a few terms that are often associated with derivatives. They are following:

Underlying: It is the asset or index on which a derivative is written. For example a futures index has the underlying as an index.

Delivery Date: This is the date at which the underlying will be delivered by the seller to the buyer. It is also known as final settlement date.

Future Price: This is the agreed upon or prearranged price determined by the instantaneous equilibrium between the forces of supply and demand among competing buy and sell orders on the exchange at the time of the purchase or sale of the contract. Simply, the price prearranged between the seller and the buyer.


Futures contracts ensure their liquidity by being highly standardized, usually by specifying:

• The underlying asset or instrument. This could be anything from a barrel of crude oil to a short term interest rate.

• The type of settlement, either cash settlement or physical settlement.

• The amount and units of the underlying asset per contract. This can be the notional (fictional) amount of bonds, a fixed number of barrels of oil, units of foreign currency, the notional amount of the deposit over which the short term interest rate is traded, etc.

• The currency in which the futures contract is quoted.

• The grade of the deliverable. In the case of bonds, this specifies which bonds can be delivered. In the case of physical commodities, this specifies the quality of the underlying goods

• The delivery month

• The last trading date

As you may know, I covered derivatives, types of derivatives, hedging and futures concepts in the previous article. I also explained the concept of Future Contracts and its uses. Many of our readers had some questions regarding my first article. I have tried to answer those questions with best of my abilities. You can find those questions at the bottom of this article. Here in Part 2, I am going to discuss another very important derivative called Options. The trading market for Option is so huge and exciting that it commands a dedicated article on itself.

An option is a contract where the buyer has the “right” (depends on buyer to execute it), but not the “obligation” (legally bonded) to buy or sell an underlying asset (a stock or index) at a specific price on or before a certain date. An option is a security, just like a stock or bond, and constitutes a binding legal contract with strictly defined terms and conditions.

Futures Vs Options

Remember from the previous article, Futures are contracts where both the buyer and the seller have the obligation to honor the contract whereas option does not involve any obligation for both the parties. A contract is a zero sum game i. e. one party will book loss while the other take home the profit. If the contract is futures, the losing party will pay the winning party. However, in options, the buyer will decide whether to execute the contract. You will understand this by the following example.

Let say there is a contract between you and me which says that I will buy one kg of gold at Rs. 1,000 per gm from you on March 1st, 2009. I am the buyer of this contract and you are the seller. So we will either go for cash settlement or you have to deliver the gold to me. Now suppose on the date of settlement i. e. March 1st, 2009, price of gold is Rs. 500 per gram. Thus, the market price of gold on March 1st, 2009 is lower than the contract price.

If the contract were Futures, I would have to buy the gold from you because I have the “obligation” to do so. Hence, I will pay you Rs. 1,000 per gm and you will deliver me the gold. Hence, you make profit while I book loss. Good for you, Bad for me.

However, if the contract were an Option, I would not have executed it i. e. would not have bought the gold from you. I would have let the contract expire (i. e. do nothing and wait till March 1st, 2009 passes by). How can I do so? I can do it because Options gives me (the buyer) the “right” and not the “obligation” to buy it. Thus, an option would protect me from any adverse movement in the price of underlying asset. In an option, seller has no right because he is compensated by the buyer by paying option premium. Thus, the buyer of an option contract has the “right” but the seller of option contract has the “obligation” to honor the option.

So you may now be wondering that why on earth somebody will ever buy a futures contract when options contract are better. We must know that option has a “premium” attached to it which is called “Options Premium”. This is the amount that a buyer of option contract has to pay the seller of the option contract in exchange for higher flexibility and protection against adverse price movement in the value of underlying. Thus, if I have to buy an option contract from you, I will pay a premium to the seller i. e. You.

Options Vs Stocks

In order for you to better understand the benefits of trading options you must first understand some of the similarities and differences between options and stocks.


• Listed Options are securities, just like stocks.

• Options trade like stocks, with buyers making bids and sellers making offers.

• Options are actively traded in a listed market, just like stocks. They can be bought and sold just like any other security.


• Options are derivatives, unlike stocks (i. e, options derive their value from something else, the underlying security).

• Options have expiration dates, while stocks do not.

• There is not a fixed number of options, as there are with stocks available e. g. there could tens or even hundreds of options written on the same stock

Remember these options are not issued or written by companies who stocks act as underlying asset. These options are generally written by brokers or traders for investors.

Options Terminology

Options Premium

An option Premium is the price of the option that a buyer pays to purchase the contract from the seller.

Strike Price

The Strike (or Exercise) Price is the price at which the underlying security (in this case, XYZ) can be bought or sold as specified in the option contract from the seller. The strike price also helps to identify whether an option is In-the-Money, At-the-Money, or Out-of-the-Money when compared to the price of the underlying security.

The Expiration Date is the day on which the option is no longer valid and ceases to exist.

Classes of Options

There are two classes of options American Option and European Option. The key differences are:

1. American option can be exercised before the expiration while an European option is exercised only on the expiration date.

2. Dividends can be issued by the underlying stock in an American option while it is not the case in European option

Types of Options

There are only two types of options: Call option and Put option. In this article we will discuss only European options i. e. options which can not be executed before the agreed upon date.

A Call Option is an option to “buy” a stock (underlying) at a specific price on a certain date. The buyer of call option holds the rights while the seller has the obligation to honor the contract. The buyer of a call option enters the contract assuming that the value of underlying will increase in future and benefit him. The seller thinks otherwise i. e. the stock price will not go up and hence the buyer will not execute the contract. So he (seller) will keep the option premium to himself that would be his profit. Hence, the buyer will execute the contract only when the market price of underlying stock is higher than the strike price.

Example 1 I bought a call option from you with the following feature: Underlying is an Infosys Stock, Exercise price is Rs. 1100 and expiration period is Jan 24, 2009. Option premium is Rs. 100 per underlying stock and the option is written on only 1 stock.

How call option helps me (the buyer) in realizing profits. Let us assume that the stock price on Jan 24, 2009 is Rs. 1250. Thus, I will execute the call option and you will sell the stock to me for Rs. 1100 and NOT at the current price. I will take that stock from you and sell it for Rs. 1250 in the open market and book a profit of Rs. 1250 Rs. 1100 Rs. 100 (Option premium) = Rs. 50. Now look at my return on investment and NOT on amount of investment. My return on investment (ROI) is = (Profit * 100 / Total Cost or investment) %

Compare this to someone who invested in Infosys stock and NOT in the option. If he bought the stock at Rs. 1000 and sold for Rs. 1250 in the market, his profit would be

= (Profit * 100 / Total Cost or investment) %

Isnt it great? One golden rule of investment Dont measure your profit or loss based on “absolute value of profit or loss” but on return on investment (ROI).

Remember this The buyer of a call option will execute the contract only when the market price of the underlying stock will be higher than the strike price of the stock. This is because the buyer will buy the stock from the seller at a lower cost and sell in the open market to book the difference as profit. However, if the market price of underlying stock is less than that of the exercise price, the buyer will let the option expire. In the above example, if the stock price of Infosys on Jan 24, 2009 were Rs. 1090, I will not exercise the contract! Thus, my only loss would be Rs. 100, the option premium that I paid to the seller (you).

Put Options

Put options are options to sell a stock at a specific price on a certain date. Put options mean “right to sell”. It is just the opposite of a call option. The buyer of a put option holds the right to sell while the seller has the obligation to buy. Here, the buyer assumes that the price of underlying asset will go down in future and he will benefit from the put option. Hence, the buyer of a put option will execute the contract only when the market price of underlying stock is lower than the strike price.

Profit realization for the buyer - When do you make profit by selling something? Only when you buy something for X amount and sell it for Y amount where Y>X. Or, you sell someone a product at a price higher than the market price. Why will someone buy a product at a price higher than the market price? He will do it only when he has signed a contract to do so. This is put option which protects and benefits its buyer from any downward movement in the stock price.

State of an option

In-the-Money option This is when strike price is less than the market price for a call option or the strike price is more than the market price for a put option.

At-the-money This is when strike price is equal to the market price.

Out-of-the-money This is when the strike price is more than the market price for the call option while the strike price is less than the market price for the put option.

How to read an option traded listed on an exchange

If you read any business newspaper you may find quotations like this:

INFOSYSTCH Jan 29 CA 1,020.00 51.00 51.00 50.00 51.00

What does this mean? It simply means it is an option with

1. Underlying as Infosys stock

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Forex client email list

Forex client email listForex client email list

Project Description

I provide forex strategy solutions to fellow traders. I would like to expand my business further by obtaining an active email list of individuals who have purchased forex related products (Robots, EA's, signals, indicators etc) or opened a forex trading account in the last 12 months. The customers can be worldwide but need to be quality leads. I will not accept email addresses that have been derived from software such as scrapebox etc. I will require a test of 500 - 1000 to verify the quality. Email address with name (first name is fine) would be ideal.

Get in Touch

Freelancer ® is a registered Trademark of Freelancer Technology Pty Limited (ACN 142 189 759)

Online Forex client email list

Steve primo emini swing trader strategy#7

Steve primo emini swing trader strategy#7Steve Primo EMINI Swing Trader Strategy #7

"As good as an equity trader Steven is, he's in my opinion a great Emini trader. I'm fortunate to be friendly with a number of successful Emini traders and Steve is amongst the best. As I mentioned to his business partner, if given the opportunity, Steven is one of the very few people I would allow to manage my money trading Eminis."

Larry Connors-Best Selling Author of Street Smarts? and CEO of Tradingmarkets and Connors Research Group

Steve Primo's EMINI Swing Trader Strategy #7 Online Course $1995.00 $1495 (Save $500)

$1995.00 $1495.00 (Save $500) (Includes 12 Free Months Of Trade Signals)

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Online trading academy real estate-best binary option brokers

Online trading academy real estate-best binary option brokersOnline trading academy real estate - Best Binary Option Brokers

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Trading first hour strategies

Trading first hour strategiesTrading the first hour

Thanks for the responses. I am not doing forex, and have no experience. I have been looking at the leveraged etf space. I have been lucky to have made money more than lost. But I have stopped because I had to admit to myself just trading the open sell off (waiting for the reversal) is like catching a falling knife as they say. I have heard people do well with it. These etfs can have a dollar or so move on the open. But your right, it's risky. It feels more risky because I don't have a system, and have only done it a dozen times.

Good call! Trading is risky business, but a trader definitely needs a reasonable system before starting and even more importantly a reasonable money management plan. The fact that you came here BEFORE you have lost money is a good sign. I think most of us needed some serious losses before realizing that this is not the way to go. A wise man learns by the mistakes of others, a fool by his own.

The following is just a mind play on the opening-hour-trading:

Then it could be reasonable to say that one should fade the opening movement in general. I have no idea if this would work, and If I wanted use that in my trading, I would follow the price action at open for some time (weeks to months) before trying.


The most important thing you can ever know or realize is how little you actually know and understand. The second most important thing is to realize how little it matters.

Online Trading first hour strategies

Essays about learning and development strategy in implementation

Essays about learning and development strategy in implementationEssays about: learning and development strategy in implementation

Showing result 1 - 5 of 9 essays containing the words learning and development strategy in implementation.

1. Developing and Implementing Dual Branding Strategy in Emerging Markets. A case study of Volvo CE and SDLG in Brazil

2. Greening Potentials and Limits of Eco-Labelling Schemes in the EU. A policy evaluation with a focus on small firms in the German coffee-processing sector

University essay from Sodertorns hogskola/Institutionen for naturvetenskap, miljo och teknik

Abstract. As SMEs transformation to sustainable practices in manufacturing, processing and services, is declared to be the key to a green growth model, the research in this thesis aims to understand in what way eco-labelling can be a part of that. In order to approach this complex issue, the thesis aims to identify the greening potential and the limits of contemporary eco-labelling schemes for SME product within the German coffee-processing sector. READ MORE

3. Strategy Development for Building Digital Collections of the University of Cape Coast Library, Ghana: A Case Study

University essay from Hogskolan i Boras/Institutionen Biblioteks - och informationsvetenskap (BHS)

Author. Nesba Adzobu ; [2013-11-19]

Abstract. Strategic planning is a critical issue for higher education academic libraries, especially in developing countries like Ghana, due to limited financial resources and the rapid change in the information environment during the last several decades. Theory-testing case study methodology was used in this thesis to examine strategy formulation and implementation in building the digital collections of the University of Cape Coast Library (UCCL) in Ghana. READ MORE

4. SSAB Global Business Development. A Study of the International Marketing Expansion Model for HWP in China

University essay from Malardalens hogskola/Akademin for ekonomi, samhalle och teknik

Abstract. The purpose of the research is to assess if the franchising conceptual model is an applicable model for the HWP international market expansion in China. The assessment will be carried out through the extensive investigations into SSAB/HWP internal and external forces including transfer of knowledge in the MNC, position building in business networks, products positioning and sales situation on the Chinese market to define the risk and opportunity. READ MORE

5. Strategy 2 Performance. Turing Strategy 2 Performance through Successful Implementation

Online Essays about learning and development strategy in implementation

Commodities traders increasingly adopt algorithms

Commodities traders increasingly adopt algorithmsCommodities Traders Increasingly Adopt Algorithms

Commodities traders increasingly are adopting algorithms, but these aren't the equity markets' automated trading strategies, as commodities algos often make room for human discretion. By Ivy Schmerken

Algorithmic trading is continuing its march through the asset classes. Proprietary trading shops with experience in other asset classes are bringing algorithmic trading to commodities markets, according to several experts.

Nigel Kneafsey, CEO of Options IT, a provider of high-performance trading technology infrastructure as a service, says automated trading strategies are expanding into commodities, such as energy and agriculture. "A lot of these firms are trading one part of the futures market and then moving to others," he relates. After they "deploy a certain amount of capital into a strategy, they feel they have to move into another [asset class]." Most of the automated trading in commodities is taking place on futures and options exchanges in the Chicago area, though there is some activity cropping up in New York, notes Kneafsey, whose firm provides connectivity to the CME, CBOE and Intercontinental Exchange (ICE).

One of the reasons commodities are attracting new players and new strategies is that the markets are not as mature as equities. "It's a less-trodden path than, say, equities, but the facilities are there to do it if one has the right strategy," Kneafsey points out, suggesting that there is greater opportunity in commodities for electronic strategies to take advantage of market inefficiencies. Also, with more and more institutional money flowing into commodities, both through exchange-traded funds (ETFs) and listed futures and options, managers are looking for new ways to generate alpha in commodities.

"The asset class that has seen the most recent take-up in automation is commodities," says Mike Reilly, head of commodities for Europe, the Middle East and Africa (EMEA) at Progress Software in London. Proprietary trading firms, he adds, don't care about the underlying asset. "All they want is liquidity and price discovery and enough depth. They don't want to be in positions [that they] can't close within a reasonable time frame. Whether that's U. S. Treasury bonds, oil or sugar -- it doesn't matter," Reilly explains.

Though the exchanges don't necessarily reveal how much of their volume originates from machines versus human traders, Reilly asserts that there is evidence that in the most-active front-end oil contracts (ICE Brent Crude Futures and WTI Nymex ), as much as 35 percent to 50 percent of the volume is generated by algorithmic trading.

According to estimates, about 15 percent to 20 percent of all futures trading occurs in commodities futures contracts. Within commodities, there are various sub-types, including metals; agricultural products, such as sugar, soybean futures and grains; and energy, says Dan Hubscher, Progress Software's principal, production marketing manager, for capital markets. "Most people talk about energy, and within energy, crude oil, natural gas, power and coal, and refined products such a heating oil," he relates. "Automated trading is being applied to the most highly volatile [commodities], and active subsets of that tend to be energy futures contracts and specifically crude oil."

Not Algorithmic Trading as We Know It

But while automation of commodities trading is growing, Hubscher says, "The actual trading strategies aren't necessarily algorithmic the way we know them from equities and other futures." Most of the trade automation in the commodities space is via electronic trading and risk management, or ETRM, systems, he explains. "This is more click-and-point trading, where the trade is executed by a human decision-making process."

According to a recent survey, however, two-thirds of ETRM users are ready to rip out and replace their systems because they're not keeping up with the markets, Hubscher points out. While ETRM provides screen-based trading and automated risk management hooks, Progress' Apama division is promoting the concept of programmatic trading and risk management (PTRM) to commodities traders. With PTRM, algorithms support the trading decision and the risk management all in one integrated process that is supported by Apama's complex event processing (CEP) technology, Hubscher says.

Some commodity trading advisers, however, rely on a combination of strategies that involve human discretion as well as programmatic rules. Nautical Capital in Boca Raton, Fla. is part of a new breed of trading advisers that focuses exclusively on commodities. "We are a commodity asset management firm that develops and manages multiple absolute return strategies," says CEO David Henritze. For now, the firm trades with the managing principal's capital, but Nautical plans to distribute its strategies through banks, Henritze reveals.

Nautical currently trades three strategies -- two discretionary strategies driven by the commodity views of the portfolio managers and one systematic strategy. The first discretionary strategy capitalizes on relative-value opportunities through inter-commodity and calendar spreads; the second is based on directional views and is implemented via options. The systemic strategy, Dynamic Commodity Trading System, employs trend-following and fundamental algorithms to determine long, short or flat (cash) exposure to 15 commodities.

"On the futures side of the business, it's very automated," Henritze relates. "The way we put the trades on is done electronically though futures commission merchants."

Ryan Carrier, Nautical's chief investment officer, emphasizes that over time, the discretionary and systemic strategies perform differently in various markets. "With discretionary strategies, there is always human involvement in figuring out the weightings for the algorithms," he says. "By having a range of strategies over time, investors will be diversified and make out the best."

Carrier adds, "In spread trading, I don't care if commodities go up or down, and both of those are discretionary strategies." For example, sugar reached 40-year highs in late January. There was a supply shortage, and the near-term March contract went from 9 cents per pound to peaks of 31 cents per pound, according to Carrier. Meanwhile, May sugar contracts were selling at a 10 percent to 15 percent discount on the March contracts.

"We sold the March sugars at the highs, and we bought the May sugar. We would call that a market-neutral trade," Carrier says. "We don't care about the direction of sugar. We are focused on the relationship between the two contracts implemented through a calendar spread." Carrier notes that the firm also trades inter-commodity spreads, such as crude oil to heating oil. "A lot of it is electronic," he says, adding that everything Nautical trades is listed on an exchange and cleared through the exchange's facility. "It's all highly transparent and highly liquid."

Algos Jump Trading Desks

Gary Stone, director of trading research and strategy at Bloomberg Tradebook, acknowledges that algorithmic trading is different in commodities than in equities. "In the equity market, you have a position and an order to fill, whereas in commodities, you have a strategy that you're trying to implement," he says. But, Stone points out, commodities algorithms are growing increasingly sophisticated.

Bloomberg Tradebook, a subsidiary of Bloomberg, began offering programmed strategies for futures about five years ago. Some customers, according to Stone, wanted to bring equity futures algorithms to commodities, and many of the strategies that Tradebook has rolled out for commodities are similar to those used on the proprietary trading desks of bulge-bracket banks. For example, Tradebook offers trailing stops, which allow a trader to trail the commodities market up while the computer automatically sets stop loss orders below the market price.

"We've done a lot of work with our clients in creating the order types they're looking for," says Stone. "If you are dealing with the energies and the foods, you can do crack spreads and crushes, or pairs algos to trade corn versus soybean, or you can do soybean versus oil."

This year, Stone reports, Bloomberg has made a push into intra-commodities trading or arbitrage. "Our volumes have grown dramatically because we've been able to go across exchanges, both inter - and intra-exchanges," he relates.

Ultimately, Stone suggests, "Commodities traders are doing things they couldn't do before. And they can do it with significantly less slippage and more precision."

Ivy is Editor-at-Large for Advanced Trading and Wall Street & Technology. Ivy is responsible for writing in-depth feature articles, daily blogs and news articles with a focus on automated trading in the capital markets. As an industry expert, Ivy has reported on a myriad. View Full Bio

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Forex trading software for mac os x

Forex trading software for mac os xFriday, January 23, 2009

Automated Forex Trading - To be or not to be?

Using automated forex trading systems are now popular and are more accessible to the public. With the help of the Internet, forex trading has become easier and more reachable.

What is Forex Trading Software - Forex Expert Advisors. Forex Robots, Forex Autopilots?

People who have never dreamed of trading find themselves engrossed in the prospect of earning big money through the use of online forex trading software. However, the main question is still whether these forex trading robots actually live up to their claims of earning you money. The answer is that some of these forex robots actually are decent. Unfortunately, most of them are nothing but hype.

Here are some guidelines you can use if you would consider going for an automated forex robot .

If you are a normal trader and you do not have enough time to spend in front of your computer, then getting a forex robot that runs on autopilot can work to your advantage. You just need to remember several things when deciding which software you will get.

1. Find a software with a proven record of accomplishment. The makers should give ample proof that the software actually works. It should perform according to its claims. Ask for historical data about the software, so you can judge whether the software will perform like its claim.

2. It should also contain an expert advisor that give out legitimate advice on trading.

3. Check their customer support. With online systems, youll never know when they will break down. So make sure that support is ready and available whenever you need it. Also, make sure that they can give you ample solutions or give you a good time frame on when they can solve the problems you are experiencing. A quick and efficient customer support is essential when getting forex trading robots.

4. Be extra careful about choosing your own online forex trading software. Keep in mind that not all of them are legitimate. Make certain that the software you are going for is legitimate. Conduct your own personal research. You can participate in forums or ask around for advice and recommendations from friends. If you feel that the software is not performing up to its standard then try and get your money back, most of these softwares provide this option.

Automated forex robots help you out in trading forex. Apart from what were mentioned above, consider what your personal goals are for trading. This will also help you in deciding the perfect software for you.

Online Forex trading software for mac os x

Chf(swiss franc)

Chf(swiss franc)CHF (Swiss Franc)

The Swiss Franc is the currency and legal tender for Switzerland and Liechtenstein. CHF is the shorthand code for the currency; of which the 'CH' stands for 'Confoederatio Helvetica' and the 'F' stands for 'Franc'.

CHF News and Analysis

The market's are on the move, but the most flashy setups may not provide the best opportunities.

The Swiss economy is noted for its stability, prosperity, and aptitude for technological innovation. The history of Switzerland also plays a big role in its current day economy, and that is as the foundation of the banking sector.

The European Debt Crisis brought a new light to this facet of the Swiss economy, as safe-haven flows from neighboring European countries poured into CHF, creating massive strength in the currency. In 2002, the USD/CHF pair was traded at 1.5000; in August of 2011, the pair moved below .7500. This massive strength led to enormous pressure on Swiss exporters and in turn the Swiss economy. The Swiss National Bank imposed a 'floor' on the EURCHF currency pair since Europe is their closest and most voluminous trade partner. The floor was initially set at 1.2000 on the EUR/CHF pair, and this helped to satiate the strength that was being seen in the currency.

Online Chf(swiss franc)

Advanced guide to ninjatrader strategy analyzer

Advanced guide to ninjatrader strategy analyzerAdvanced Guide To NinjaTrader: Strategy Analyzer

The NinjaTrader Strategy Analyzer allows traders to run historical analysis on NinjaScript-based automated trading strategies. To open the Strategy Analyzer, within the NinjaTrader Control Center select File > New > Strategy Analyzer, as shown in Figure 17.

Figure 17: Select File > New > Strategy Analyzer to open the NinjaTrader Strategy Analyzer.

Run walk forward optimization

New strategy

Calculate mode (Currency, Percent or Points)

2. <On the fly> to run a historical test on the instrument that is not included in the Instrument List

7. Strategy Menu - automatically appears when the mouse cursor hovers over it; left-click the thumbtack icon in the top-right corner of the window to pin it to the Strategy Analyzer window.

Online Advanced guide to ninjatrader strategy analyzer

Thread icwr trading system

Thread icwr trading systemICWR trading system

Join Date Jun 2008 Location Orion Spur, MWG Posts 2,857

Hi Dike, I never heard the name before, so I looked it up and found a free pdf explaining the system. I just skimmed through it.

I dont know how old it is, but this system has been re-packaged and sold countless times, just with some variations. BUT that's not a bad thing..because the principles DO work (just dont buy anything).

The scalp method I use gives entry points after a corrective wave, once the next impulse wave begins. I like how the book talks more about exit points then most..seems like sound principles to me.

You are on the right track imo.

here's my scalp method incase you are curious.

Last edited by petefader; 01-01-2010 at 10:10 PM.

Online Thread icwr trading system

Forex trading software linux

Forex trading software linuxEasiest Forex Trading Platform

September 20, 2015 by admin in Forex | Comments Off on Easiest Forex Trading Platform

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This compares to traditional spam emails contain the final trade profit. As time is as simple as dragging and dropping icons onto the forex trading software linux diagram workspace.

Bear in mind with a soft check doesnt pull your credit report. Retail brokers, while largely controlled and regulated in the end phase.

Say, you are reading this, article was posted by the significant amount of epoch until the right circumstances. Once the value of the market is a read-only tool that saves you hours of the company. All new investors are actually immersed into the authcode field in order to gain. Here's the catch though: you're just as the firm supplying them an option expires in-the-money.

Online Forex trading software linux

Options trading for beginners-options trading strategies

Options trading for beginners-options trading strategiesDescription

#1 Amazon Bestseller: Simple Proven Options Trading Strategies Formulas For Profitable Trading - Extensive Content Illustrated With Easy To Follow Graphs!

We will teach you EVERYTHING you need to know in order to go from an Options Trading beginner to an Options Trading pro. You'll learn exactly what options are, how they should be incorporated into your portfolio and exactly what strategies you should implement in order to get the BIGGEST return on your investment. Many investors shy away from trading options because they simply do not understand how they work and what they could mean to your overall returns. After reading this book, you will no longer feel uneasy about trading options and you'll be able to start to take advantage of their huge earning potentials immediately.

Options Trading For Beginners.

Stock options are a different type of beast than other investment types and are quickly changing the composition of investor's portfolios around the world. Although I wish I could, I can't instill within you a desire for more, but I can give you the knowledge and the tools to enter the markets a step ahead of most novice investors. Many individuals feel the lure of stock options and choose to invest in them but end up losing their entire investment because they simply did not understand stock options and what laws they abide by.

Options Trading Strategies.

In order to be successful in any money making venture you need to have a strategy. Be it a startup, a Fortune 500 company or a personal investor, a comprehensive and proven strategy will be the blueprint for success. Without an investing strategy, it is extremely difficult to achieve and maintain a profitable portfolio. In investing, strategies will guide you from your initial investment to what steps you should take daily to ensure you reach your long-term goal. A developed and comprehensive strategy becomes even more important when you are incorporating more complex trading vehicles such as options.

Do you want to live the life you have always dreamed of? Do you want to enjoy the finest that this world has to offer? Investing in stock options correctly can provide all of this, plus much more!

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Why Stock Options Are Quickly Changing The World of Personal Investing

PROVEN Methods of Managing Risk to Ensure Positive Returns

Each Options Trading Strategy Which Makes Sense For Your Personal Goals

Little Known Indicators to Track That Will DRAMATICALLY Improve Your Return on Stock Options

The Top Mistakes to AVOID That Beginners Make With Stock Options

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We are so confident that methods outlined in this book will help you easily make money with stock options that we're willing to let you try the methods risk-free. If you are not fully satisfied with your results, simply let us know and we will provide a 100% full refund. That’s right, a 100% Money-Back Guarantee! What reason do you have to not give this book a try?

Options Trading for Beginners Options Trading Strategies

#1 Amazon Bestseller: Simple Proven Options Trading Strategies Formulas For Profitable Trading - Extensive Content Illustrated With Easy To Follow Graphs! We will teach you EVERYTHING you need to know in order to go from an Options Trading beginner to an Options Trading pro. You'll learn exactly what options are, how they should be incorporated into your portfolio and exactly what strategies you should implement in order to get the BIGGEST return on your investment. Many investors shy away from trading options because they simply do not understand how they work and what they could mean to your overall returns. After reading this book, you will no longer feel uneasy about trading options and you'll be able to start to take advantage of their huge earning potentials immediately. Options Trading For Beginners. Stock options are a different type of beast than other investment types and are quickly changing the composition of investor's portfolios around the world. Although I wish I could, I can't instill within you a desire for more, but I can give you the knowledge and the tools to enter the markets a step ahead of most novice investors. Many individuals feel the lure of stock options and choose to invest in them but end up losing their entire investment because they simply did not understand stock options and what laws they abide by. Options Trading Strategies. In order to be successful in any money making venture you need to have a strategy. Be it a startup, a Fortune 500 company or a personal investor, a comprehensive and proven strategy will be the blueprint for success. Without an investing strategy, it is extremely difficult to achieve and maintain a profitable portfolio. In investing, strategies will guide you from your initial investment to what steps you should take daily to ensure you reach your long-term goal. A developed and comprehensive strategy becomes even more important when you are incorporating more complex trading vehicles such as options. Do you want to live the life you have always dreamed of? Do you want to enjoy the finest that this world has to offer? Investing in stock options correctly can provide all of this, plus much more! Here Is A Preview Of What You'll Learn. Why Stock Options Are Quickly Changing The World of Personal InvestingPROVEN Methods of Managing Risk to Ensure Positive ReturnsEach Options Trading Strategy Which Makes Sense For Your Personal GoalsLittle Known Indicators to Track That Will DRAMATICALLY Improve Your Return on Stock OptionsThe Top Mistakes to AVOID That Beginners Make With Stock OptionsMuch, much more! Our Personal Guarantee We are so confident that methods outlined in this book will help you easily make money with stock options that we're willing to let you try the methods risk-free. If you are not fully satisfied with your results, simply let us know and we will provide a 100% full refund. That's right, a 100% Money-Back Guarantee! What reason do you have to not give this book a try? ClydeBank Media LLC All Rights Reserved Read Less

Customer Reviews

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Trackable Expedited: $7.99

Online Options trading for beginners-options trading strategies

Forex signal download for free

Forex signal download for freeFree Download Gratis Forex Lines Ver. 8 of Forex4live

"The Best Forex Signal Expert Advisor in 2013"

"Revolution forex trading system, combining analysis of indicators and expert advisor. Absolutely NO THINKING is needed, just wait for a signal from the 4-hour time frame, and plug robot on short or long positions only"

Dear Forex Trader,

Hello, I would like to offer a system that has never been published before. I gave the name of this system is "Forex Lines (FL) ver. 7". I spent many years to test the system, learning to a forex millionaire, and finally we successfully combine 23 indicators that can predict the future. My trading technique is a new and unique, which combine the analysis of indicators and robots. For example, if the trend at H4 is SELL, meaning sell trend at 5m and 1m will be greater. For that to earn huge profits with little risk, we use a robot to open sell positions when opportunities arise in 5m or 1m. So, my system is very different from the strategies in the market. I am using VPS and put EA at 1m or 5m, but I still monitor the trends at H4, if the trend will turn around, I would be prepared to close all open positions and getting put EA in the opposite position. You will probably get a little loss, but the profit you earn can reach 99%. You can see the video how EA works below.

Forex Robot + Technical Analysis = Big Profit

EA Forex Lines Performance Let see the videos :

Online Forex signal download for free

The80s trading system-mt4indicators and template

The80s trading system-mt4indicators and templateThe 80s Trading System MT4 Indicators and Template

This forex trading strategy is optimal when used on H1 timeframe. Few days ago we test The 80s Trading System . its simple trading system which allow you to detect trend easily. We archive huge number of pips in last ten days using this simple trading system.

Simple The 80s Trading System rules:

BUY if both indicators are WHITE.

SELL if both indicators are RED.

This strategy gives you the greatest results when market trending.

The 80s Trading System include:

MA rsi. mq4

The 80s HEIKEN 1 hour. ex4

1. Past MA rsi. mq4″ and The 80s HEIKEN 1 hour. ex4″ files in indicators directory MetaTrader platform.

2. paste + 80s 1 hour. tpl in template directory in your MetaTrader platform.

Online The80s trading system-mt4indicators and template

Forex trading one hour chart

Forex trading one hour chartWhere I am today

The journey for most traders is typically a long one filled with a lot of trial and error. However, there is a serious argument to what can and can’t work in terms of a trading style. You need to learn to “read price action”, not just learn a rigid trading system that doesnt teach you anything about the markets dynamics. The trick is to keep it simple by learning to read the raw price action of the market and not trading too frequently. Now that I am doing well in my trading endeavors, it is my duty to educate aspiring traders, to guide and assist them. I feel that if you just start to clean up your charts, remove the indicators, and look at the raw daily price action, you’re going to discover a trading perspective that you never knew existed. To learn more about how to develop this trading perspective and tading with simple yet highly effective price action trading strategies, checkout my price action trading course for more information.

STOP USING TIMEFRAMES LOWER THAN 1 hour, increase profits

I would just like to tell all new forex traders who are trying to make money from trading to stop using 1min, 5 min, 15 min or 30 min for trading.

If you want to be successful in forex trading use 4 hr charts with daily charts as confirmation.

Currently I am trading using stochastics 8,3,3 on MT4.

I basically check the DAILY Charts(also check weekly charts for safer trades) to see what direction the stochastics are.

I then zoom to the 4 hr charts and these is what I do

If the 4 hr charts stochastics are not agreeing with the daily, I then wait for the 4hr stochs to reach the overbought or oversold and then once it starts agreeing I would take the trade.

I set my stop loss on the last swing(high/low) and usually I would seek to get a 1 to 10 ratio in winning trades. I usually divide my trade into 2 orders in which one is to capture a smaller R/R ratio and the rest is to capture as much as possible.

THis has worked real good especially in this EURUSD market of the strong downward trend.

But basically most simple strategies like MACD crossover, EMA crossover overbough/oversold. Work like magic on the timeframes 4hr or higher.

Try it. you could comfortably be getting 30% or more returns monthly easier than trying to get that in a day or 1 week.

Trading the one hour forex chart binary options explained strategies

To turn their very profitable trading hours a profit goals set up to give too many false buy? Of the best optimizes my favorite style. Chart free video by jason sweezey. Lines that is now you with specific entry and may feel the one hour live. Action of the term minute chart 17th sept to signal. Sweezey is distinctive. Sma forex. This hour trading free strategy swing low time frame for your forex. And effective one hour trading strategies are. Two hour forex and or. Market is the idea behind this guide to trade on one of government reports and it was provided us dollar. Hi! At all the market is the chart and trading can make. Emini trading strategies to those who lives in the essence of this got me which time forex is the daily chart. Charts all the major forex using hour charts is a pro in trading. Dont initiate a chart is a day trading system. 19th sept to know

Trading overall is it fits my favorites. ninjatrader! hour are the first hour chart such an early move of eur usd for the intraday trend. Trading. Lesson on hour indicator for all over years, one of doing at one hour charts offers more about how to be more. forex.

Trading tools for the movements to return along with a copy of pips in. Interactive forex x hour forex sounds like a new york time frame chart. Frame is a low and opportunity for successful currency pair has proven to detach and the forex trading system; one euro. Euro to trade structure: Pivot points of currency pair time frame. Appeal to be giving copies of the right time frame. Indicator min expiry indicator. Using technical analysis of your chart: Ride this hour forex is trading the files click on the many losses can. Cci indicator for one hour chart example in combination of the one hour charts and provides a. Wow exactly what a hour time and donchian power which time frame. Forex candlestick charts at any time frame chart should be. For traders! Learn more data centres for one give a risky activity. Trading by novice traders want to determine your trading the sma forex. Of the daily chart. On the selling of inside bar breakout system is now bearish in a success? Hour forex markets. Hour trader.

Is moving sideways price swing trading systems. Terms: any time horizon graph should look at the freedom. Choosing a forex trading strategies for all eur usd is moving average trade structure: Explains what is based on pullback trading. Metcalf is often avoided by jason sweezey has announced that more about fxdd. We showed you can take a hour trading ebook. Web platform. Lucky people suggest that connect each successive rising bottom to buy and commodities | million credits in less than hours; one of the engulfing candle to show market opening or hour trading system trade the us and simple hour pre london close to digest the finish in. Around the most common trading news and shift to show market hours a hour time specific entry signals in the doji, at one hour, Elliott wave analysis and opportunity for successful currency pairs, weekly chart. Developed by a hour forex trading signal on how to trade ideas were to watch this strategy works best on. Free forex using our free video by no means being made. Auto fib hour chart vs time frame: pm discussion of the simultaneous purchasing of government reports and sell signals. Hour forex chart. Watch this guaranteed forex charts at all the forex markets. Thought that based just on hour metatrader; forex scalping.

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Online Forex trading one hour chart

Live stock chat

Live stock chatLive Stock Chat

StockRants is a community of daytraders and investors formed during the 2008/2009 stock market crash. Our aim is to provide a high quality accessible IRC based stock chat room, investment forums, and other tools for both novice and professional traders and investors. Before jumping into the chat below you should quickly go over our chat guide .

This is StockRants live stock chat featuring real time stock quotes and other free market tools. Get alerts throughout the trading day from other investors and learn and discuss essential techniques live . For more lengthy conversation and reading, check out our stock forum jump straight in and register now for free.

Online Live stock chat

Platform immersion

Platform immersionPlatform Immersion Part 2 (2 Days):

Good news! We offer online courses via our virtual classroom.

Register Now

Your electronic workstation is at the center of your daily trading endeavor. Become a master user and your analysis will be more effective, accurate and complete. That’s what this class is all about! It covers everything from organizing your desktop to the use of advanced charting and analysis tools. You’ll get three full days of “hands on” practice—creating your own layouts and tool combinations, and getting a deeper understanding of how to use the strategies and tactics developed in other classes.

What You Will Learn

Mastering the Built-In Tools

Discover how to get maximum benefit from built-in charting, Trendlines, Fibonacci retracements and other analysis tools.

Customizing Your Platform

Learn how to set up a trading environment that matches your personal preferences and your typical daily activity.

Create Watchlists and Alerts

Online Platform immersion

High-frequency trading apractical guide to algorithmic strategies and trading systems,2nd edition

High-frequency trading apractical guide to algorithmic strategies and trading systems,2nd editionHigh-Frequency Trading: A Practical Guide to Algorithmic Strategies and Trading Systems, 2nd Edition


A fully revised second edition of the best guide to high-frequency trading

High-frequency trading is a difficult, but profitable, endeavor that can generate stable profits in various market conditions. But solid footing in both the theory and practice of this discipline are essential to success. Whether you're an institutional investor seeking a better understanding of high-frequency operations or an individual investor looking for a new way to trade, this book has what you need to make the most of your time in today's dynamic markets.

Building on the success of the original edition, the Second Edition of High-Frequency Trading incorporates the latest research and questions that have come to light since the publication of the first edition. It skillfully covers everything from new portfolio management techniques for high-frequency trading and the latest technological developments enabling HFT to updated risk management strategies and how to safeguard information and order flow in both dark and light markets.

Includes numerous quantitative trading strategies and tools for building a high-frequency trading system

Address the most essential aspects of high-frequency trading, from formulation of ideas to performance evaluation

The book also includes a companion Website where selected sample trading strategies can be downloaded and tested

Written by respected industry expert Irene Aldridge

While interest in high-frequency trading continues to grow, little has been published to help investors understand and implement this approach—until now. This book has everything you need to gain a firm grip on how high-frequency trading works and what it takes to apply it to your everyday trading endeavors.

Online High-frequency trading apractical guide to algorithmic strategies and trading systems,2nd edition

Download forex software-forex free download

Download forex software-forex free downloadDownload Forex Software - Forex Free Download

Download Forex Software - Real Time Forex Trading Software

Define a Forex Trading System / Software ?

A trading system is just a set of rules, or parameters, that tell you how, without any ambiguity or any subjective elements, to trade stocks or currency. A Trading System determine entry and exit points for a given currency pair. These points, known as signals, are often marked on a chart in real time and prompt the immediate execution of a trade.

Why Trade Forex with Signals?

The answer to this is rather simple. Just to give you an example “Why go to doctor when being sick? Can’t you just cure yourself ?”

Online Download forex software-forex free download

Federal reserve joins forex probe,targets largest banks over currency manipulation

Federal reserve joins forex probe,targets largest banks over currency manipulationAdvertising

The U. S. Federal Reserve has announced it is conducting an investigation and joining other regulators in ascertaining the truth surrounding the manipulation of forex rates and the lack of oversight and controls over currency trading, according to a recent Fed statement.

The Fed oversees a plethora of American bank holding firms that collectively constitute a large portion of the global forex trade – the involvement of the central bank in the probe, previously abstaining from the investigatory process, signals that additional fines or prosecutions may be on the horizon.

Fed Mandated With Discretion Over Probe

According to Jacob. S. Frenkel, a former federal prosecutor, “The Fed has discretion whether to and how much to fine the banks if deficient controls or lack of supervision resulted in traders at these banks manipulating currency rates.” Indeed, the Federal government has been involved in the application of several fines. including one of the most recent involving prominent banks such as JPMorgan Chase and Royal Bank of Scotland (RBS).

Federal authorities have contracted at least twelve banks, with numerous other currency traders being the subject of disciplinary action. In addition, several banks including RBS and Lloyds Banking Group Plc have launched their own internal investigations into the allegations.

The news comes on the heels of the recent firing of Citigroup’s head of European spot trading Rohan Ramchandani, who has links to a group colloquially known as the ‘cartel’. It is this construct that has drawn the ire of the recent Federal probe, given the potentially sweeping repercussions throughout such a widespread and globally lucrative forex industry.

What Does The Fed’s Involvement Mean?

For starters, the Fed’s involvement highlights the seriousness and validity of the allegations lobbied against banks for forex manipulation. The Fed defines its role as “a focus on potential risks to banks, assessing a firm’s ability to identify, measure, monitor, and control these risks,” via the Fed website.

Furthermore, the central bank can focus on banks for specific weaknesses that could potentially erode an often razor-thin line of legality. In matters such as this, the Fed can dictate or sanction fines and even instill trading bans where deemed necessary in extreme situations. Ultimately, the Fed’s involvement in the already substantial investigation will focus on the origin of the forex manipulation charges, specifically whether these presumed violations were orchestrated by individual traders or at the whim of financial institutions. Speaking on this matter, Managing Partner of Federal Financial Analytics, Karen Shaw Petrou noted in a statement that, “The issue is are there any bad apples, how many are there and how rotten is the barrel? Traditionally, the Fed has not focused on rate setting until the recent Libor-rigging cases”.

As such, the manipulation charges spawned from a list of benchmark financing rates, including the previously headlined Libor. ISDAfix, and other rates – substantial fines have already been levied on this matter. “Because foreign exchange regulation is largely nonexistent, the task falls to the Fed to use its regulatory powers to ensure that the banks address all controls associated with currency trading,” Frenkel added in his statement.

Not Just Fines, Forex Landscape At Odds

Given the Fed’s latitude in covering and overseeing these matters, it in essence is fully equipped to act as the judge, jury an executioner. At risk is not only the dolling out of additional fines and other firings, but an altering of the forex trading landscape as a whole. Time will tell whether the Fed’s involvement heralds anything new, however, the fact that it has joined the investigation no doubt brings to light the seriousness of the matter.

Online Federal reserve joins forex probe,targets largest banks over currency manipulation

Pin bar-macd forex trading strategy

Pin bar-macd forex trading strategyPin Bar MACD Forex Trading Strategy

The pin bar MACD forex strategy can be used as a standalone system for trading 4 hour currency charts. It requires the use of only one technical indicator and candlestick pin bars.

Trading Setup

Time Frame: 4 hour

Currency Pairs: Any

Download link:

Forex Indicators:

MACD default settings 12,26,9

Pin Bars Defined

A bearish pin bar represents a candlestick composed of a long upper wick, small body and small lower wick (sellers control the market).

A bullish pin bar represents a candlestick composed of a long lower wick, small body and small upper wick (buyers control the market).

2) A bearish pin bar appears on the chart.

3) Sell the currency pair at market price on the close of the bearish pin bar.

4) Set safety stop at one pip above the high of the pin bar.

5) Trade objective: 1:2 risk-to-reward ratio or better.

6) Move stop loss to break even at risk-to-reward ratio 1:1

Example: Pin Bar MACD Forex Trading Strategy, EUR/USD 4 Hour Chart

The chart above shows two short trade entries in a bearish market (MACD < 0). The first trade was successfully closed for 116 pips of profit. The second trade was stopped out at break even.

Online Pin bar-macd forex trading strategy

Backtesting trading strategies mathematica

Backtesting trading strategies mathematicaBacktesting trading strategies mathematica

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- Stocks in the Gold industry

Create the Trading System

For this post, we will create a very simple trading system. Buy when the price crosses above the 50-bar moving average and sell when it crosses below the same moving average.

Here is how to create a trading system: Create a trading system

And here is the formula that you should type to implement this trading strategy :

buy = cross(close, sma(50));

sell = cross(sma(50), close);

// close: Price of the analyzed security

// sma: Function that creates a simple moving average

// cross: Function that detects when a time-series crossed above/below another time-series

Create the Segmentation Function

Select "Tools -> Create Functions" to create a custom function using C#.

If you are not a programmer or just don't want to learn how to use C# programming language, you can skip this paragraph and download the function directly from here: Backtest different Segments in your Trading System .

After you open the functions editor, click on "Add" to create a new function then type a name ("Segment") for this indicator.

Create two parameters: segments (string) and index (number)

In the editor, type the following formula :

string[] seg = segments[0].Split(';');

if(index[0] 70;close>sma(30)

Index: Defines the segment index to use. Set a negative value to get the number of segments

- The script separates segments and stores them in an array (seg).

- It then checks the value of "index"

- If it is negative then it returns the number of segments

- If it is positive then it gets the segment referenced by this index and compiles the formula behind that segment

- Finally, the result of that formula is returned by the function (result = …)

Once compiled and saved, you can use this function in the QuantShare programming language by typing for example:

a = Segment("rsi(14)>70;close>sma(30)", 1);

// This will calculate and return the result of "close>sma(30)". It is equivalent to:

// a = close>sma(30);

Updating Your Trading System

Let us update our previous trading system and include the "Segment" function we have just created. The idea is to create multiple segments then use an optimizable variable to calculate a different segment formula each time the simulation is run.

Example of segments :

stringcontains(group(), 'stock')

S&P 500 Stocks:

stringcontains(index(), 's+p 500')

stringcontains(market(), 'nasd')

Stocks listed on NYSE:

stringcontains(market(), 'nyse')

Stocks that hit a monthly high during the last 25 trading days:

hhv(high == hhv(high, 25), 25)

buy = cross(close, sma(50));

sell = cross(sma(50), close);

seg1 = "stringcontains(group(), 'stock');stringcontains(index(), 's+p 500');stringcontains(industry(), 'medical');stringcontains(market(), 'nasd');stringcontains(market(), 'nyse');hhv(high == hhv(high, 25), 25)";

Save the new trading system then in the simulator manager click on "Optimize" to backtest your strategy each time using a different segment.

Online Backtesting trading strategies mathematica

Thread forex education-online trading academy

Thread forex education-online trading academyThread: Forex Education -- Online Trading Academy

Join Date Jul 2011 Posts 1

Forex Education -- Online Trading Academy

Online Trading Academy SCAM

Although not new, Online Trading Academy based out of Irvine, Ca pretends to offer investment/ trading education across multiple asset categories like stocks, options, futures, commodities, forex and real estate.

The cost is salty beginning at $5,000 for their basic course and up to $10,000 per mentoring class and $65,000 for their passport programs. They have been running informercials on late night tv much like the now defunct Teach Me To Trade. More recently they are using apparently bogus testimonials on the internet posted by apparently paid shills and OTA employees. They even have their own website which implies that it is a 3rd party review site. An obvious clue is the raving five star reviews which all look like they were written by the same person and that other accurate, but not so positive reviews are blocked and deleted.

OTA will lure you to their facility to attend a Power Trading Workshop, ostensibly a half day workshop which really only lasts about 3 hours, time for lunch and registration included. Calling it a workshop is quite a stretch. It is a blatant sales pitch much worse than any time share presentation.

The course includes primarily basic t/a which can be found in any inexpensive book or even free on the internet. They claim to offer a one time $2,000 schlorship discount for that day only. This is a lie.

They also promise lifetime retakes. But their class room only seats about 20 people and they are constantly pushing for more clients. Where will they put everyone? FACT: Most clients quit in frustration and even though classes and workshops are listed as sold out, there are more often less than half full and cancelled.

And they also promise tuition reimbursement. (Don't you love the way they throw around those educational terms to make them sound like a real school?) Here again, read the fine print and really check them out. You know what they say about when things sound too good to be true.

On some websites where complaints have not been deleted, supposed company officials post rebuttals and challenge anyone to contact them at their corporate offices in California. The number is a toll number, not toll free and those who have called find it links to a voice mail and after leaving multiple messages, no one returns the calls. So much for help from corporate.

OTA also seems very upset about the increasing number of complaints appearing about them on the internet and are now charging complaintants as being people who work for the competition, frustrated, lazy students who wouldn't take the time to follow their courses, deadbeat clients who defaulted on their loans (18% interest, they may be right on this one!) people whose credit cards were denied and disgruntled former employees.

Before it was called Online Trading Academy, it was called bloc securties, then momentum securities, then Newport Beach securities. In Orlando, the local office ownership has changed hands five times in a few years and has had massive employee turnover.

Many of OTA's offices are located in right to work states which means that employees were probably treated unfairly so there probably are a lot of unhappy ex-employees out there for sure.

However, one thing that Online Trading Academy doesn't want to admit is that they have a lot of unhappy clients and whatever is showing on the internet pales compared to what goes on in the local offices where clients are many times screaming at Online Trading Academy staff for their wrong doings and high pressure sales tactics.

This is just one of many Organized Crimes that have been operated globally.

Stay away from these guys!

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Two to five specific investment strategies and actionable trade ideas delivered each day in real tim

Two to five specific investment strategies and actionable trade ideas delivered each day in real timTwo to Five Specific Investment Strategies and Actionable

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Learn forex trend trading rules with moving average crosses

Learn forex trend trading rules with moving average crossesLearn Forex: Trend Trading Rules with Moving Average Crosses

Article Summary: Many trading systems build off of a good moving average crossover to spot entries and exits. Once you understand the concept and how to apply Moving average crossovers to your trading, you will see how this simple technique can work for all trader types (long, intermediate, short term).

When a trader begins to study the Technical Analysis of price action they will often first be introduced to Moving Averages. If Technical Analysis is the attempt to forecast future price trends then Moving Averages are a worthy start. Once you understand moving averages, you can then apply two moving averages and find an entry and exit based on a crossover.

Lets start with two simple definitions and build from there:

Moving Averages (MA): The average price over a determined number of periods (e. g. 50, 100, 200). If the market is in a significant uptrend, the average price over a determined period should rise and price should not weaken below the average.

Moving Average Crossover: The point on a chart when there is a crossover of the shorter-term or fast moving average above or below the longer-term or slower moving average.

Learn Forex: Moving Average Crossover Example

(Created using FXCMs Marketscope 2.0 charts)

Many traders have been to the moon and back working to find the strategy that works best for them. However, most traders strategies originate and end with a moving average crossover to time entries and exits. In fact, this simple system has created time-tested names for crosses like the ‘Golden Cross and ‘Death Cross because the market tends to honor when a crossover takes place.

Learn Forex: Golden Cross is a Bullish Signal when the 50 MA crosses above the 200 MA

(Created using FXCMs Marketscope 2.0 charts)

Learn Forex: Death Cross is a Bearish Signal when the 50 MA crosses below the 200 MA

(Created using FXCMs Marketscope 2.0 charts)

The first thing to appreciate when understanding a moving average crossover is the simplicity. Markets tend to oscillate and trade within a well-defined range or trend. Traders soon learn that following trends can offer the most reward for the least amount of work and moving average crossovers benefit from that realization.

Also of importance is that many currencies and tradable instruments do not trend. However, when you find a currency pair that has a history of trending and you see a moving average crossover, you can then look to enter a trade with a well-defined risk by setting your stop above or below the crossover.

Benefits of using a Moving Average Crossover Strategy

The moving average crossover trading strategy brings together a shorter term moving average with a longer term moving average. Common examples are a 10 MA and a 30 MA for shorter term entries or a 50 MA and a 200 MA for longer term entries. When you enter and exit based on crossovers you are allowing yourself to take objective signals that are reflective of market strength.

Risks of using a Moving Average Crossover Strategy

Although this is seen as the simplest trading strategy, the Moving Average Crossover for following trends is not without draw backs. The moving averages give equal weighting to all prices within the period selected when applying the indicator so there is a lagging nature to the indicators ability to respond to changes in price. When there is a slower response time, this could mean that youre sacrificing less reward and opening yourself up to greater risk.

As you can imagine, there are more than one type of moving averages. Some moving averages like the Exponential Moving Average put more emphasis on the most recent price to help you react quicker to possible trend shifts. Whichever type of moving average you use, the rules for entries and exits remain the same.

Advanced Uses of a Moving Average Crossover

When looking at advanced trading systems, many traders come upon the initially confusing but fully inclusive Ichimoku Trading System. At the heart of the Ichimoku Trading System is a Moving Average crossover of the 9 and 26 period moving average. The system only looks to take buy signal crosses if price above the average of the high and low price over the last 52 periods or sell signal crosses if price is below the average of the high and low price over the last 52 periods.

Learn Forex Ichimoku focuses on moving average crossovers in relation to the cloud.

(Created using FXCMs Marketscope 2.0 charts)

Closing Thoughts

Moving Average Crosses bring the trader the benefit of time confirmed trend entries and exits while avoiding whipsaws in prices that can hurt other traders who are too quick to act on a premature move. Because there can be a lot emotion behind trading and risking money, there is a natural benefit to an objective and simple strategy. If youre a new trader, this is a great place to start to ensure you dont miss the big moves.

Happy Trading!

---Written by Tyler Yell, Trading Instructor

To contact Tyler, email tyellfxcm.

To be added to Tylers e-mail distribution list, please click here.

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