Trading binary options strategies and tactics bloomberg financial download quantum

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Intraday trading strategies forex

Intraday trading strategies forexErratic performance but head above water!

April 30, 2013

Ive had a good couple of trades over the past 2 weeks and a couple of rather impetuous trades that you think are out of your system until they happen!

After not finding a low risk entry short on AUDUSD last week it was frustrating to then see the pair crumble the way it did exactly as I predicted. After that drop and the encouraging GDP figures out of the UK and Cable take off there has been a lot of sideways movement in the market until today.

EURUSD has possibly broken out of its box today and we could see moves above 1.32000 in the not too distant future..all eyes on Friday at 13:30. If payrolls are worse than 150k then we can expect to see the Euro gain in strength well until the next country in Euroland that manages to scupper its recovery!

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GBPUSD is at an interesting place right now thoughcheck out the pair and keep an eye on it this week. We could see a break out of channel or a bounce back in. A classic case of wait and see before jumping in!

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Futures trading course-online trading academy xlt

Futures trading course-online trading academy xltFUTURES TRADING COURSE - ONLINE TRADING ACADEMY XLT

The XLT – Futures Trading course blends two types of sessions in a very structured environment. Lesson sessions make up approximately 40% of the course curriculum. Each lesson focuses on teaching a specific concept that continues your trading education. Trading and Analysis sessions make up the remaining 60% of the course curriculum and apply the knowledge you have gained in live market conditions. Trading and Analysis sessions are conducted during active market hours with the purpose of identifying real trading opportunities using a very objective rule-based strategy.

Forty-two sessions are delivered over a 12-week period, with each session lasting approximately 2 hours in length. Lesson sessions repeat every 12-weeks, providing solid learning reinforcement. Each Trading and Analysis session is unique as the instructor and students, together, proactively and dynamically respond to live-market conditions.

Understanding Who is on the Other Side of Your Trade


Week 2: Odds Enhancers: Identifying High Probability Turning Points

Strength of a Level

Stock / Bond Relationship

Supply and Demand Curve Extremes

The “Trigger”

System Building Traps

Week 10: Indicators and Oscillators and Candlestick Patterns

Identifying Turning Points with Oscillators

Adapting Oscillators for Trends

Use of Oscillators to Confirm Supply and Demand Entry Points

Use of Indicators to Confirm Supply and Demand

Moving Averages as Demand and Supply

Trading the Trend with Moving Averages

Online Futures trading course-online trading academy xlt

Day trade tutorial

Day trade tutorialOther People Are Reading

Prerequistes for Trading

Day traders must already have experience making money in the market. Traders operate to extend their profitability through intensive trading of a few securities every day. Day trading begins with the development of a money management strategy, a trading strategy and a protective stop strategy. Traders must purchase software to find potential stocks to trade, develop strategy and determine how stops will be used to protect profits and limit losses. Lost cost brokers, usually online with automated services must be chosen for making trades. Subscription services to stay alert of news, download data, and provide fast, on-line prices must be purchased. These fees will be expensive. However, they are a necessary and a fixed cost of doing business.

Entering the Trade

Trading begins with a list of securities that may be approaching a tradeable setup. The setup refers to the minimum requirements a trader needs to find in a stock. Such requirements may be a rise in price and volume, minimum number of shares outstanding, institutional sponsorship, a crossing of two moving averages, or a stochastic indicator that gives a sell signal. Because day traders look for quick strikes and do not carry positions overnight they trade using technical measures. Technical analysis uses price and volume or chart patterns, or stochastic measures to pick quick movements in stocks. Fundamental analysis, the use of balance sheets may be helpful in targeting stocks with good earnings but does not produce quantifiable entry and exit points.

The Trading Process

Immediately upon finding a stock for purchase the trader uses their money management strategy to compute how many shares of stock to trade. At the same time the trade is entered a protective stop is entered which represents the absolute maximum loss a trader will accept. Protective stops are also part of money management strategy. Good day traders accept many small losses in an attempt to find a few stocks that immediately move in the direction of the trader's expectations.

Finishing the Trade

Protective stops continue throughout the trade. They are continually adjusted as the stock moves in price. Protective stops are absolute. Day traders must have the discipline and psychological make-up to respect stops or they will soon be out of business. Exit strategies are immediately examined after a stock lifts above its purchase price. Exit strategies may include a profit objective, the reversal of a pattern or moving average crossover or a change in the price and volume chart. The best exit strategies seem to be when the stock is sold is increasingly volatile and trades lower in increasing volume. Day traders find strategies with which they are most comfortable. This means respecting the tight risk/reward ratios necessary for success.

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A beginner-s guide to hedging

A beginner-s guide to hedgingA Beginner's Guide To Hedging

Although it sounds like your neighbor's hobby who's obsessed with his topiary garden full of tall bushes shaped like giraffes and dinosaurs, hedging is a practice every investor should know about. There is no arguing that portfolio protection is often just as important as portfolio appreciation. Like your neighbor's obsession, however, hedging is talked about more than it is explained, making it seem as though it belongs only to the most esoteric financial realms. Well, even if you are a beginner, you can learn what hedging is, how it works and what hedging techniques investors and companies use to protect themselves.

What Is Hedging?

The best way to understand hedging is to think of it as insurance. When people decide to hedge, they are insuring themselves against a negative event. This doesn't prevent a negative event from happening, but if it does happen and you're properly hedged, the impact of the event is reduced. So, hedging occurs almost everywhere, and we see it everyday. For example, if you buy house insurance, you are hedging yourself against fires, break-ins or other unforeseen disasters.

Portfolio managers, individual investors and corporations use hedging techniques to reduce their exposure to various risks. In financial markets, however, hedging becomes more complicated than simply paying an insurance company a fee every year. Hedging against investment risk means strategically using instruments in the market to offset the risk of any adverse price movements. In other words, investors hedge one investment by making another.

Technically, to hedge you would invest in two securities with negative correlations. Of course, nothing in this world is free, so you still have to pay for this type of insurance in one form or another.

Although some of us may fantasize about a world where profit potentials are limitless but also risk free, hedging can't help us escape the hard reality of the risk-return tradeoff. A reduction in risk will always mean a reduction in potential profits. So, hedging, for the most part, is a technique not by which you will make money but by which you can reduce potential loss. If the investment you are hedging against makes money, you will have typically reduced the profit that you could have made, and if the investment loses money, your hedge, if successful, will reduce that loss.

How Do Investors Hedge?

Hedging techniques generally involve the use of complicated financial instruments known as derivatives. the two most common of which are options and futures. We're not going to get into the nitty-gritty of describing how these instruments work, but for now just keep in mind that with these instruments you can develop trading strategies where a loss in one investment is offset by a gain in a derivative.

Let's see how this works with an example. Say you own shares of Cory's Tequila Corporation (Ticker: CTC). Although you believe in this company for the long run, you are a little worried about some short-term losses in the tequila industry. To protect yourself from a fall in CTC you can buy a put option (a derivative) on the company, which gives you the right to sell CTC at a specific price (strike price ). This strategy is known as a married put. If your stock price tumbles below the strike price, these losses will be offset by gains in the put option. (For more information, see this article on married puts or this options basics tutorial .)

The other classic hedging example involves a company that depends on a certain commodity. Let's say Cory's Tequila Corporation is worried about the volatility in the price of agave, the plant used to make tequila. The company would be in deep trouble if the price of agave were to skyrocket, which would severelyeat into profit margins. To protect (hedge) against the uncertainty of agave prices, CTC can enter into a futures contract (or its less regulated cousin, the forward contract), which allows the company to buy the agave at a specific price at a set date in the future. Now CTC can budget without worrying about the fluctuating commodity.

If the agave skyrockets above that price specified by the futures contract, the hedge will have paid off because CTC will save money by paying the lower price. However, if the price goes down, CTC is still obligated to pay the price in the contract and actually would have been better off not hedging.

Keep in mind that because there are so many different types of options and futures contracts an investor can hedge against nearly anything, whether a stock, commodity price, interest rate and currency - investors can even hedge against the weather.

The Downside

Every hedge has a cost, so before you decide to use hedging, you must ask yourself if the benefits received from it justify the expense. Remember, the goal of hedging isn't to make money but to protect from losses. The cost of the hedge - whether it is the cost of an option or lost profits from being on the wrong side of a futures contract - cannot be avoided. This is the price you have to pay to avoid uncertainty.

We've been comparing hedging versus insurance, but we should emphasize that insurance is far more precise than hedging. With insurance, you are completely compensated for your loss (usually minus a deductible). Hedging a portfolio isn't a perfect science and things can go wrong. Although risk managers are always aiming for the perfect hedge, it is difficult to achieve in practice.

What Hedging Means to You

The majority of investors will never trade a derivative contract in their life. In fact most buy-and-hold investors ignore short-term fluctuation altogether. For these investors there is little point in engaging in hedging because they let their investments grow with the overall market. So why learn about hedging?

Even if you never hedge for your own portfolio you should understand how it works because many big companies and investment funds will hedge in some form. Oil companies, for example, might hedge against the price of oil while an international mutual fund might hedge against fluctuations in foreign exchange rates. An understanding of hedging will help you to comprehend and analyze these investments.


Risk is an essential yet precarious element of investing. Regardless of what kind of investor one aims to be, having a basic knowledge of hedging strategies will lead to better awareness of how investors and companies work to protect themselves. Whether or not you decide to start practicing the intricate uses of derivatives, learning about how hedging works will help advance your understanding of the market, which will always help you be a better investor.

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Useful tips on trading forex using the macd indicator

Useful tips on trading forex using the macd indicatorUseful tips on Trading Forex using the MACD indicator

The MACD indicator – pronounced “ MAC – dee“ or “M-A-C-D“ is a popular and versatile tool, which generally appears as a histogram at the bottom of charts, with a line following it called the signal-line and a second horizontal line through the centre called the zero-line, above and below which the MACD oscillates.

Traders use the MACD to analyse momentum and measure the strength of the trend. They look for divergences and convergences between the MACD and price to indicate potential market turning points, and use the MACD crossing its signal-line for trade entry and exit signals.

The MACD is calculated by subtracting a long exponential moving average of the price from a short exponential moving average. The signal-line is itself an exponential moving avergae of the MACD and the zero-line is the point at which the averages would cross if seperated.

Signals are generated in 3 main ways:

a)The MACD crossing the signal-line gives trend reversal signals. It is particularly accurate at overbought and oversold extremes.

b)The MACD crossing the zero-line tends to give a confirmation of the trend.

c) Convergences and divergences of MACD with price reveal underlying strength and weakness in the trend, in the same way as regular momentum oscillator does.

What a lag

MACD is said to be a lagging indicator and this is often percieived as a disadvantage, however, it can also prevent traders from entering the market too soon. In the chart below, for example, note the topping candlestick formation – a shooting star.

It would be tempting to short the market at this point, however, if we looked at the MACD we would notice it has not crossed below the signal line. In fact the contray is true, MACD has crossed above the signal line giving a bullish buy signal instead. In the end the market continues higher and if we had sold short the set-up we would probably have been stopped out.

Now look at the diagram below showing a similar shooting star. Note, however, that on this chart the MACD has crossed below the signal line, giving a sell signal.

In the end the confirmation from MACD’s signal line actually results in a better trade and the market falls steeply.

Whilst signal-line and zero-line crossovers are useful, on their own they can result in many whipsaws. For a higher probability of success it is best to combine them with divergences and convergences.

One strategy is to look for convergence or divergence for the intial set-up and then wait for the MACD to cross the signal-line before taking the trade. The crossing of the zero-line can often be a good place to take profit.

For example in the chart below we see that the market rallied to a peak of 1.2844 on the 12 th of January before correcting. Then the market recovered and resumed its rally, making an even higher high at 1.2878 on the 13 th Jan. The MACD rallied too but unlike price it failed to make a higher-second high thus giving rise to a divergence.

A short order was entered and triggered when the MACD crossed below its signal-line at 1.2829. The price then fell until the trader exited when the MACD closed below its zero-line, winning an impressive 100 pips in the process.

Trading strategy enhancements

One drawback of convergences and divergences is that they can give rise to false signals when the market is trending strongly.

In the chart below, for example, you can see that despite a convergence between MACD and price the market continues to fall and makes an even lower low, and if the trader had bought on the first convergence he would have been stopped out.

The market makes a second convergence and a final low and it is only then that it recovers and makes a substantial rebound.

One neat solution to the problem of convergence and divergence failure, proposed by an analyst named Boris Schlossberg, is to use the MACD as a guide to placing stops rather than the price. In the chart above the intial convergence failed and the market went lower. If the trader had placed his stop at the lows he would have been stopped out. The MACD did not make a lower low however resulting in a second convergence, which again indicated underlying weakness.

Only after that did the market reverse and rally. If the trader had used the MACD rather than the price to place his stop he would have remained in the trade despite it initally turning against him and making a new low.

Using this approach the trader not only avoids unnecessary losses from early entry but also can build a position of new trades opened at each instant of divergence or convergence. The position is only stopped out if momentum increases and re-confirms the trend. In truth it is rare to get incidences of more than three convergences or divergences in a row before the final break.

This technique is particularly suited to the forex trading because of the greater margin available, which allows traders to build positons with relatively little capital, and suffer bigger drawdowns without margin calls.

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Online Useful tips on trading forex using the macd indicator

Forex uk

Forex ukBuy and sell currencies

The foreign exchange market - or forex for short - is the buying and selling of currencies, and it's one of the fastest growing markets in the world. Forex trading works much like it does with stock trading; you buy low and sell high. You can trade forex conveniently online 24 hours a day, 5 days a week. Plus, you can buy and sell at any time, in bull markets and in bear markets. Learn More

FXCM Inc. a publicly traded company listed on the New York Stock Exchange (NYSE: FXCM), is a holding company and its sole asset is a controlling equity interest in FXCM Holdings, LLC. Forex Capital Markets Limited ("FXCM LTD") is an indirect operating subsidiary of FXCM Holdings, LLC. All references on this site to "FXCM" refer to FXCM Inc. and its consolidated subsidiaries, including FXCM Holdings, LLC and Forex Capital Markets Limited.

Forex Capital Markets Limited is authorised and regulated in the United Kingdom by the Financial Conduct Authority. Registration number 217689.

Tax Treatment: The UK tax treatment of your financial betting activities depends on your individual circumstances and may be subject to change in the future, or may differ in other jurisdictions.

Introduction to Forex Trading

What is Forex Trading?

%img src="

invest11/wp-content/uploads/2012/08/forex. jpeg" /% It is important to understand the basis of trading currencies as a way of knowing how the forex market works.

Beginners Guide to Trading Forex:

Understanding the Ins and Outs of Forex Trading

Forex trading simply means the business of trying to make money from the differential in the exchange rates of one currency against another. Forex trading came about as a result of the process of floating exchange rates, which allow a currency’s value to be determined by the forces of supply and demand. But was this always the situation? Let’s delve a bit deeper into the history of the forex market.

Towards the end of the 19 th century, paper notes began to replace older forms of currency that were in use at the time. By the time the Second World War was in progress, almost every country in the world had its own currency. Colonized territories assumed the currencies of their colonial masters. This war was principally fought by the Germans, Japanese and Italians on one hand, and the British-led Allied Forces on the other. America joined the parley after the Pearl Harbour bombing and so was relatively spared by the bruising economic effects of this war. By 1944, the economies of the principal actors in this war were on life support. To chart a course for the post-war era, an economic conference was convened in Bretton-Woods, USA in 1944. One of the outcomes of that meeting was that all global transactions and currencies were pegged to the currency of the relatively unaffected US economy, and in turn the US Dollar was pegged to a gold standard of $35 an ounce. Over the next 27 years, the value of this standard kept depreciating as the US grappled with the economic effects of the Vietnam war, leading the Nixon-led US government to abandon the gold standard. Other countries also unbundled their US Dollar peg and the era of global currency floatation was born.

It is the fact that most world currencies are now allowed to float and have their values determined on a minute-by-minute basis by market forces that has led to the concept of forex trading.

From 1971 to 1996, the trading of currencies was the exclusive preserve of institutional traders, made up of banks and high net-worth individuals who pooled money together into massive hedge funds. There was no place for individual traders because most could not afford the large capital outlay required to profit from minute price movements in the currency market. However, as the concept of margin and leveraging were developed and cheaper access to borrowed funds was made available, the forex market was deregulated in 1997 to allow for individual participation in the market. Since that landmark year, the daily turnover of the forex market has increased substantially to stand at about 4 trillion US dollars. This is a truly phenomenal amount of money floating around and if you have what it takes, you can grab your share by participating in the market.

Requirements for Forex Trading

To be able to participate in the forex market, a trader needs access to this huge virtual exchange. This he can do by obtaining a forex trading account with a broker licensed to provide this service, identification document such as an international passport, drivers’ license and a utility bill or bank/credit card statement as proof of address. These documents are required for account activation.

Once the account has been activated, the trader can then use an acceptable means of transferring funds to his trading account domiciled with his broker in order to start trading. This can be done via a bank transfer, credit/debit card or any of the e-wallet services like Paypal, Moneybookers and Neteller. It is this money that will serve as the initial capital for buying and selling currencies for money.

Trading Process

This is the difficult part, as a trader needs to have the training required to know how to participate in the market and make accurate trading decisions. Traders may decide to attend courses, webinars and lectures or may decide to buy or subscribe to reading material for this purpose. Forex trading is not all about theory but is a very practical event, so brokers provide demo trading access for traders who want to practice forex trading and get a feel of what it feels like to trade currencies for money.

Now it is not all so easy and straightforward as it seems to be. There are many pitfalls that a trader must overcome. The number of scam brokers far outweighs the genuine ones, and there are many con artists who capitalize on the naivety of newbie traders to sell junk forex products to them. These junk products include defective expert advisors and trading systems that do not work.

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This section presents free daily trading signals on major currency pairs. Trading signals are based practically on the same market analysis principles as daily technical analysis reviews provided by the Company.

Difference between trading signals and technical analysis

The main difference is that technical analysis suggests explanation of the current market situation, while trading signals only rouse to action with no comments.

Thus, trading signals are designed for those persons who do not have time nor the desire to make themselves familiar with an analytical review and with the analyst`s point of view as well as for those who lack sufficient knowledge required to understand correctly technical analysis and to draw the right conclusion from it.


The given trading signals are provided as a trading tool for informational purposes only. Under no circumstances the given trading signals should be treated as financial advice. Use or misuse of the information on this page specifically exempts FOREX LTD, its affiliates, subsidiaries, agents or shareholders from any liability whatsoever.

Guidance on trading signals

Open a position at the price indicated in «Entry» section in «Strategy» direction with the help of market or pending orders, depending on the current price.

In case when Target 1, Target 2 and Target 3 levels are attained, partial or complete closing of the total position or gradual moving of a Stop Loss to the break-even zone should be made. For instance, when Target 1 is attained, a Stop Loss level should be placed at opening price level and when the price reaches Target 2 a Stop Loss should be moved to Target 1 level.

In the event, when market conditions dramatically change, as it may happen after release of some crucial economic reports, a breakout of the price level indicated in «Stop» section may occur. In this case closing of all unprofitable positions may be accompanied by reopening of positions in the opposite direction with the target levels of «Resistance» and «Support».

Pointers have the following meaning: and - trend direction; - flat/sideway; and - correction.

Online Forex uk

Backtesting atrading strategy in sas and r

Backtesting atrading strategy in sas and rBacktesting a trading strategy in SAS and R

May 24, 2012 //

For our investments class, we had to conceive and test a trading strategy using technical analysis. As a lover of R, I decided to reference some code I had seen earlier on Modern Toolmaking via R-Bloggers:Backtesting a Simple Stock Trading Strategy. The example provided R code that was very helpful in getting me to understand the math behind the testing part (as opposed to the conceptually easy trading rules).

Only one problem stood out: our professor wanted us to use SAS!

1 comment Post your own or leave a trackback: Trackback URL

3A%2F%2F1.gravatar%2Favatar%2Fad516503a11cd5ca435acc9bb6523536%3Fs%3D48r=PG" /% Zachary Mayer says:

Thanks for reading my blog. Also, I'd say there's a good chance you will be using R at your future job:

Online Backtesting atrading strategy in sas and r

Forex trading india top10binary options

Forex trading india top10binary optionsForex trading india Top 10 Binary Options rockhouse. au

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Online Forex trading india top10binary options

What is option pair trading strategy

What is option pair trading strategyWhat is option Pair Trading Strategy?

What is option Pair Trading Strategy?

how is it work

please help

What is a Pair Option ?

Pair options have only been introduced into the marketplace in relatively recent times. They provide traders with the opportunity to speculate on which asset out of a selection of two will outperform its counterpart over a specified period of time. Traders do not have to concern themselves with predicting the direction in which price will advance as they do with standard binary options. As such, trading pair options presents unique opportunities to acquire lucrative returns which do not exist using other investment types.

StockPair which support pair options, provides an extensive selection list of stocks traded on the US and European exchanges. Generally, the two underlying assets comprising a pair belong to companies whose trading performances are highly correlated and normally operate within the same market sector, e. g. retail banking or telecommunications, etc. These features imply that investors should be able to readily detect any trading divergences that are about to occur between the two stocks comprising a pair. Pair options brokers also tend to provide a wide selection of expiry times which range from intra-day to multi-month.

In summary, pair options operate in a similar way to standard binary options. The main difference is that pair options are not oriented about price movement but, instead, focus on the relative performances of two highly correlated companies over a specified time. Consequently, they offer unique opportunities for gaining sizeable profits by implementing innovative strategies.

How to Trade Pair Options

The first step you must undertake in order to trade pair options is to locate a suitable broker. Unfortunately, as this investment type is relatively new, your choice is quite restricted. In fact, the only company that provides such a comprehensive on-line service is Stockpair which will allow you to trade pair options by selecting from extensive list of over 75 asset pairs.

Once you have open an account with Stockpair and make your initial deposit, you can then start opening positions by visiting its trading room. A screen will appear enabling you to activate pair options as well as choosing which stock market you would like to trade, i. e. either USA or Europe. You should particularly notice that the assets comprising the pairs on offer are those of companies whose trading performances are highly correlated and in the same marketing sectors, i. e. Shell/BP, Barclays/HSBC and BT/Vodafone, etc. These features are especially important as they will enable you to detect any sudden deviation in the comparable trading patterns of the two companies comprising a pair.

Once you have selected a pair, a new screen will appear allowing you to opt for your preferred type of pair option. You have two choices which are fixed or floating. The former enables you to choose a fixed expiry time and the measurement of the relative performance of the two assets commences as soon as your trade is activated. In contrast, floating options can be cashed-in before their expiry dates elapse and the measurement of relative performance starts at a predetermined period of time, such as a day, week or month. They can payout large returns in excess of 300% compared to about 80% for fixed options.

You must then choose an expiry time which can range from one hour up to 150 days for fixed pair options. Next, you need to decide which of the two assets comprising your pair will outperform the other within a specified time. The payout for each stock is readily displayed so that you will know exactly the return you can expect if your option finishes in-the-money at expiration. Finally, you must enter the size of your deposit and chose which asset you think will outperform the other. A trading chart will appear displaying the relative performance of the two assets continuously until expiration.

What are Fixed Pair Options?

Fixed Pair Options allow traders to decide the expiry times of their Pair Options whenever they activate positions. These options always close at a fixed expiry time. The relative performance of the two assets, forming the pair, commences as soon as the trade is executed. Expiry times for fixed pair options range between 15 minutes and 150 days from start time. Payouts for fixed pair options, which can be as high as 86%, depend on the assets selected and are clearly advised before execution.

On certain longer term Pair Options trader has the opportunity to sell his position before expiry.

What are Floating Pair Options?

Floating Pair Options are contracts that determine which underlying asset performs best, out of the two selected, over a predetermined period of time, i. e. a day, week or month. The measurement of the relative performance of the two assets commences at the start of a predefined period in contrast to that of the fixed pair option which starts as soon as a trade is executed. For this reason the relative performance at the time the trade is executed will have been measured from the beginning of the time period. Payouts can thus exceed 300% as an asset you may choose may already be way behind in relative performance.

You have the ability to sell floating options early. Payout for early termination is displayed or you may set an upper or lower sell limit. If sale price of asset reaches your upper or lower limit before expiry, trade will automatically be closed at that price.

Online What is option pair trading strategy

Cost of online trading academy

Cost of online trading academyCost of online trading academy

Full Description

Sep 29, 2014 lowest cost – trading. Take 2+ part of trading nov 26, 2012 varengold does. Instructor salary register sg yahoo get online forex. Trading; online want will be traced back to live online. Students learn to live online part and what. Cost, but learning its account management fees payout-structure. Traders: the lowest cost per hour rate: n a comprehensive 16-cd. Topic you want will attended a couple of disciplined trading stocks. Is not done right will 40%.

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Why is futures trading the best option for aday trader

Why is futures trading the best option for aday traderWhy Is Futures Trading The Best Option For A Day Trader?

Chicago Mercantile Exchange is the largest futures exchange in US

Every day trader must decide which financial instrument to trade. There are many choices including futures. forex, stocks, and options. There are also many considerations of your own, and conflicting advice from your friends. Indeed, it is a difficult choice to make.

Lets cut the chase and tell you why futures trading is the best option for a day trader.

Profit from your analysis with futures trading

Futures move in tandem with its underlying asset.

Futures and options are two derivatives used by active traders.

For options, we analyse the underlying asset but trade the option. This is a problem because while we analyse the underlying asset, our profit and loss is not directly linked to its movements.

Instead, our profit and loss depends on how option prices move. However, due to factors like time value and volatility that affect options pricing, it is possible that the option prices do not move in tandem with its underlying at times.

Very often, the underlying asset might move as you anticipated but the price of the option does not budge. At times, it might even move a little in the opposite direction. This is especially common in short trading time-frames. Your analysis is right but you are not rewarded. This is a problem for day traders who want to extract quick profits from the market.

On the other hand, futures move in tandem with its underlying asset. In fact, traders apply technical analysis tools on the futures market directly. This allows us to profit from our anticipation of price movements without the complications of derivative pricing.

Futures has no restrictions on short-selling.

There are no restrictions on shorting in the futures market.

A day traders job is to take only the best trades. regardless of whether it is a long or short trade. With the unfettered ability to take on long and short positions, a day trader can stay neutral and act according to his or her current market analysis.

The stock market is different. Although day traders can short-sell stocks, they are still limited by the shortable stocks offered by their brokers. This is because you need to first borrow a stock through your broker, before you can sell them to profit from a bearish move.

Moreover, financial regulators all over the world frown upon short-selling. Although short-selling bans do not solve fundamental problems of the stock market, regulators have used short-selling bans on many occasions as a short-term solution to prevent stock market collapses.

Free your trading capital

FINRAs Pattern Day Trading Rule does not apply.

According to FINRA, you are a Pattern Day Trader if:

You use a margin account; and

Day trade the same security for more than four times within five business days; and

The day trades form more than 6% of your total trading activity for the same five-day period.

And if you are a Pattern Day Trader, you must keep up at least $25,000 in your trading account to day trade.

It is very difficult for day trader to avoid the label of Pattern Day Trader. Of course, you can trade very infrequently, or use a cash account. Both are not ideal solutions and impede the goal of a day trader.

Day traders want take the best trades, even if the best trades occur more than four times within five business days.

Day traders want to make the most out of small intraday swings and using a margin account for leverage is essential.

Those are the bad news, at least for stock and options traders. The good news is that the Pattern Day Trading Rule does not apply to futures traders.

Futures traders can have less than $25,000 in your account and still day trade to your hearts content. (Subject to your rigorous market analysis, of course.)

Day traders can make use of lower initial margins for futures trading.

To enter a futures position is to enter a contract to buy or sell. You are not really buying or selling anything, yet. So you do not have to pay.

However, you need to post an initial margin (also known as the performance bond) as a guarantee of your ability to fulfill the contract. The amount of initial margin depends on the product and market volatility.

While the futures exchange set the initial margin for overnight trading, futures brokers are free to decide on the initial margin for intraday trading. The difference is significant. For instance, the initial margin for the E-mini SP futures (ES) traded on the Chicago Mercantile Exchange is $4,510 per contract, while many futures brokers offer day trading margins as low as $500.

For day traders, this means that you can trade one ES contract for every $500 in your futures trading account. Given the size of one ES contract is $50 x SP 500 Index (now at around 1800), you are controlling a value of $90,000 with only $500.

A note of caution: Lower day trading margins is not a reason to take on excessive day trading risk. Your position size should still be determined by a sound model based on the expectancy of your day trading strategy and your risk capital.

However, you should certainly make use of the lower margins to manage your trading capital more efficiently.

Feel safe trading futures

There is central clearing for futures.

As futures are contracts, they are technically exposed to the risk of contracting parties failing to act according to the contract terms. This risk is known as counterparty risk.

However, futures are traded on the exchanges and the exchange clearing house is the counterparty to both sides of the contract. With daily marking-to-market and performance bonds pledged to the clearing members, the counterparty risk of futures contracts is almost zero.

On the other hand, most retail spot forex brokers are mostly market makers. This means that when you buy or sell forex, your broker sells or buys it from you. If your broker is unable to fulfill the deal, which is possible, especially for small forex brokerages that are not well-regulated, your paper profit is worth less than the paper it is written on.

Volume data for futures contract is reliable.

An advantage of having central clearing is that you can get reliable trading volume data. The volume reflects the interest of market players and is useful for technical analysis, especially volume spread analysis. You can trust that your volume analysis is meaningful.

Getting reliable volume data from your forex dealer is impossible. This is because spot forex trading is decentralized and no one dealer has all the information.

Futures Trading is the Best Option For Day Trading

To summarize, this is why futures trading is a day traders dream.

Online Why is futures trading the best option for aday trader

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

No indicators trading strategy(nits)

No indicators trading strategy(nits)No indicators trading strategy nits. Binary Option Platform mariamartinpsicologia

August 21, 2015 at 4:45 pm

No indicators trading strategy nits zoom to success trading binary option from beginner pro pdf gamma

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No Indicators Trading Strategy (NITS) Weekly Report – 11-May-14

Here’s the usual update on GBPUSD, EURUSD and EURJPY where, on the 4 hour chart, using NITS, we are “always in”.

On GBPUSD, we remain Long with a Trailing Stop in place around break-even.

Those not yet in this trade should now have a Short order in place at the current Trailing Stop level.

On EURUSD, we are now Short after our Long trade was stopped out for a 50% (circa) loss – No reason yet to move our Initial Stop.

Those not yet in this trade can still get in around about the original Entry price (1.3770).

On EURJPY, we remain Long with a move up to a new high still required to enable us to move our Initial Stop.

Those not yet in this trade can get in at a better price than the original Entry price.

Dont miss these entries, learn to trade this method on your own on any instrument and timeframe you wish, t he No Indicators Trading Strategy is only available at Forex Useful Click HERE for instant access

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Unit of competency details

Unit of competency detailsModification History

Released with TAE10 Training and Education Training Package version 2.0

Unit Descriptor

This unit describes the performance outcomes, skills and knowledge required to plan and organise the assessment process, including recognition of prior learning (RPL), in a competency-based assessment system. It also includes the development of simple assessment instruments.

Application of the Unit

This unit typically applies to assessors and workplace supervisors with assessment planning responsibilities; and trainers or other assessors responsible for planning assessment, including RPL.

The unit is suitable for those with an existing assessment strategy which documents the overall framework for assessment.

Online Unit of competency details

No indicator forex trading strategy

No indicator forex trading strategyNo Indicator Forex Trading Strategy

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Rakesh jhunjhunwala the intuitive investor

Rakesh jhunjhunwala the intuitive investorRakesh Jhunjhunwala: The Intuitive Investor

Rakesh Jhunjhunwala

Rank in the rich list: 51

Net Worth $1.86 billion: The big challenge faced in the last year Manoeuvreing volatile markets before the beginning of the current bull run

The way forward: Focus on philanthropy, particularly education and nutrition. Plans to put in Rs 1,000 crore in an educational institution. Considering setting up an institution to ensure more effective government spending

Rakesh Jhunjhunwala has set himself two important targets. By the end of the year, the man people like to call Indias Warren Buffett wants to be 20 kilos lighter than what he was at his peak weight. The second target is more serious: Jhunjhunwala plans to give away Rs 5,000 crore or 25 percent of his total wealth, whichever is lower, to philanthropy when he turns 60 on July 5, 2020. And Jhunjhunwalas track record would validate the achievability of both targets.

Consider how investors hang on to every word the 54-year-old Jhunjhunwala says about the markets and the economy. Company managements often come to him and make presentations so that he invests in them. But he confesses that he is not as smart as people make him out to be. “My failures are far less known than my successes,” says the billionaire investor during a nearly hour-and-a-half long chat with Forbes India in his 15th floor, sea-facing office at Nariman Point, once Mumbais only business district.

In his simple office, people pore over Excel sheets and trading charts, and, occasionally, some of them enter his cabin to show him a paper or two.

Inside, dressed in a plain white shirt (which costs Rs 800, he informs us), black trousers and a Titan watch, sits Jhunjhunwala, surrounded by some more trading terminals and a large collection of Ganesha statuettes adorning the shelves. On the walls hang two separate sets of “commandments”—for trading and investing—which he keeps distinct from each other.

The past year, with a major bull run on the stock markets, has been great for Jhunjhunwala, whose wealth has grown by a hefty 62 percent during the period, positioning him at number 51 in the 2014 Forbes India Rich List (against 61 in 2013). His three key holdings—Titan Company, Lupin and CRISIL—have also seen handsome gains. Not surprising then that Jhunjhunwala had not made a single trade, either in the cash market or in futures, on August 7, the day Forbes India met him. For now, he can afford to rest easy and allow his investments to work for him.

Changing Views

Jhunjhunwalas love affair with the markets started early, when he was only 12 or 13 years old. His father, who was a civil servant, would discuss stocks with his friends and that got him interested in the markets. “I was a curious child and I would watch stock prices fluctuate,” he says. “I would ask my father why prices went up or down. He would point to news items and tell me that prices react to news. Those days, stocks like Century, Gujarat State Fertilizer and Grasim were the main ones.” As he began studying chartered accountancy (CA), his interest in the markets grew stronger. He would often go to the trading ring during lunchtime to get a feel of the place. Those were the days of open outcry trading and, for Jhunjhunwala, it was a world which had a romance and thrill of its own.

“My first investment was when I completed my CA in 1985,” he says, adding that initially, he would believe any company which had strong reserves and surpluses was good. “I have truly learnt by trial and error.”

Today, many years and several bull and bear phases later, he is much wiser and knows smart investing is far more than reading balance sheets. Ask him about his investment philosophy and he responds quickly that he is “too young” to have one. “Lets not try to over-glorify things. I would say an understanding of the investment thought or process is required,” he says.

His journey as an investor has moved from the quantity of profits to the quality, and the recognition of what he calls ‘non-company factors on stock prices. “When you start, the quantum of profits is important, but then you realise that quality is more important,” he says. “So I would put it in a subtle and brief manner: Consistency, return on capital, corporate governance, payouts and such things are very important.”

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Forex trading strategies guide for day and swing traders pdf top10binary trading brokers list

Forex trading strategies guide for day and swing traders pdf top10binary trading brokers listForex trading strategies guide for day and swing traders pdf. Top 10 Binary Trading Brokers List. timpelton

Forex trading strategies guide for day and swing traders pdf binary option 81 decoded

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Lose weight in8a sample8week workout schedule

Lose weight in8a sample8week workout scheduleLose Weight in 8: A Sample 8 Week Workout Schedule

With an easy-to-follow workout schedule, you can see noticeable results on the scale in as little as eight weeks. According to the Mayo Clinic, a safe and healthy goal for weight loss is dropping one to two pounds per week. This means that in as little as two months, you can lose up to 16 pounds. Below is a sample workout schedule that should be easy to fit into even the busiest schedule.

The beginning of this workout plan will focus on shedding fat, building lean muscle and increasing your endurance.

Monday: Toning and Cardio

5 minute warm-up on cardiovascular equipment of your choice

10 minutes of cardio workout. On a scale of 1 to 10 in perceived exertion, aim for an intensity level of 6. This should cause slightly labored breathing, but you are able to maintain this pace for some time.

5 minute cool-down

3 sets of bicep curls

3 sets of tricep pulldowns with rope

3 sets of lateral pulldowns on cable machine

3 sets of front raises with dumbbells

Tuesday: Off

Wednesday: Cardio and Core

5 minute warm-up on cardiovascular equipment of your choice

3 sets of plank exercises. Hold each for 30 to 60 seconds.

3 sets of crunches on a stability ball

3 sets of bicycle crunches

10 minutes of interval training on cardiovascular equipment of your choice

5 minute cool-down

Thursday: Off

Friday: Cardio and Lower Body

5 minute warm-up on cardiovascular equipment of your choice

3 sets of lunges with dumbbells

3 sets of squats onto stability ball

3 sets of leg curls on machine

10 minutes jogging on the treadmill

5 minute cool-down

Saturday: 30 minutes of brisk walking

Sunday: Off

For the next segment of this workout plan, expect to step up the cardiovascular training and your strength training.

Monday: Toning and Cardio

5 minute warm-up on cardiovascular equipment of your choice

20 minutes of cardio workout. On a scale of 1 to 10 in perceived exertion, aim for an intensity level of 7. This should cause labored breathing and a definite feeling of fatigue.

5 minute cool-down

3 sets of bicep curls on cable machine

3 sets of incline dumbbell press

3 sets of tricep kickbacks on a bench

3 sets of lateral pulldowns on cable machine

3 sets of lateral raises with dumbbells

Tuesday: Off

Wednesday: Cardio and Core

5 minute warm-up on cardiovascular equipment of your choice

20 minutes of intervals: 90 seconds at a level 9 in perceived exertion followed by 30 seconds at level 3 in perceived exertion. Repeat 10 times.

5 minute cool-down

3 sets of plank exercises. Hold each for 60 seconds

3 sets of side plank exercises. Switch sides to complete one set

3 sets of straight leg raises on a bench

Thursday: 20 minutes on cardiovascular equipment of your choice

Friday: Cardio and Lower Body

5 minute warm-up on cardiovascular equipment of your choice

10 minutes jogging on the treadmill

5 minute cool-down

3 sets of lunges with dumbbells

3 sets of squats with dumbbells

3 sets of seated calf raises with dumbbells

3 sets of side lunges with dumbbells

Saturday: 20 minutes on the stationary bike

Sunday: Off

For each workout, aim to complete 10 to 12 repetitions per set. When selecting dumbbells for your exercises, choose a pair of dumbbells where your muscles reach fatigue by the last repetition of each set.

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Ttc will be switching to presto cards by2017,full service before that

Ttc will be switching to presto cards by2017,full service before thatTTC will be switching to Presto Cards by 2017, Full service before that

June 22, 2015 08:11 pm

The TTC has promised that Presto Fare cards will be useable across all Subway stations by the end of the year.

The transit authority is attempting to eliminate TTC tokens and tickets from regular use by 2017 at the latest.

Today the Deputy CEO of the TTC broke the news that by the end of the month 2/5 th of the current subway line will be accepting Presto cards.

By the end of 2016 the TTC will stop selling tickets, then several months later, stop accepting them as currency.

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Best forex trading strategy pdf-top10binary trading brokers list

Best forex trading strategy pdf-top10binary trading brokers listBest forex trading strategy pdf - Top 10 Binary Trading Brokers List

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Forex brokers australia seem to be the top regulated brokers these days

Forex brokers australia seem to be the top regulated brokers these daysForex Brokers Australia Seem To Be The Top Regulated Brokers These Days

Best Australian Forex Brokers

Traders are highly pretentious these days as to the brokers they choose and this is a reaction towards the fact that the financial market has managed to provide a very vast net for websites, when anybody seem to be able to participate in Forex world. Of course, this large abundance is not evidence that every single trader is able to join every single Forex broker. On mandatory, some people might find restrictions on their way as to the nationality and their residence occupation. Moreover – many traders are highly motivated to remain on their national brokers due to the fact that they allow them to trade in a more reliable and trustworthy environment. Take the Forex brokers Australia, for instance. They seem to be quite reputable and safe, because they are supported by very strict controlling organs and agencies. But let`s overview the regulation in Forex brokers in Australia, because after all, this is the main factor that distinguish the different websites as to their residence spots.

How Well The Regulation in Forex Brokers Australia Is?

It is more than superb and it is acclaimed as reliable and secured. The fact that not a single, but several agencies work quite hard for the regulation of the different brokers in Australia make use and millions of traders across the world – including in the country – to join these trading platforms with no concerns about the safety factor. The brokers in Australia are really rarely discussed whether they are scams due to the fact of the fantastic national regulation of financial services. See now what agencies are in charge for the regulation as to the Forex brokers Australia now:

Australian Securities and Investments Commission

ASIC – the well-known abbreviation behind Australian Securities and Investments Commission – represents the main agency for regulation in Australian trading experience. The commission covers all the financial services, markets and platforms in Australia. This is the agency to which any potential Australian Forex brokers must turn to in order to get an official license being and operation on the market. ASIC is also in charge for taking licenses away, too, when the broker seems to be a fraud. Moreover – the responsibility of the commission reaches to the market integrity and consumer protection, too. Thus, any violation with personal data of a customer in a Forex Australian Broker can be trialed here. Last, but not least, know that foreign exchange transactions are free from regulation. The Reserve Bank of Australia has delegated its control to authorised money market dealers and foreign exchange dealers.

Australian Prudential Regulator Authority

APRA – or the Australian Prudential Regulator Authority – is in charge with several rights and duties as to the influence on license procedures, as well as in the supervision of the Authorised Deposit-taking Institutions (ADIs). Many disputes by ordinary traders from Forex brokers Australia have been settled to this authority.

Australian Competition Consumer Commission

Last, but not least, the regulation in financial market at Australia is also supported by Australian Competition Consumer Commission, which has the right to settle a trial of an anti-competitive behavior of an Australian Forex broker, too. The commission is only a helping body that has few rights, but still remains one of the standard bodies for taking licenses away, as well as keeping the security level in Australian brokers at its current averagely well-established and perfectly managed safety level.

How To Choose A Proper Australian Forex Broker?

Choosing a good Australian broker for Forex trading will not be a problem for you at all. This is due to the fact that Forex brokers Australia are known for their proper system that establishes great environment for trading. Traders that participate in Australian trading activity are always covered by the regulation bodies and they are always offered by the best alternatives and benefits for their financial activity. The following features, though, will give you some guides as to the selection of a nice and 100% safe Australian Forex broker:

Strong reputation in the market

Great customer support that should be at least 24/5 due to the time zones.

Nice bonus systems

Additional features for supporting beginners in trading – learning centers, tutorials, tips from pros in the field and mobile trading opportunity

Discover Forex brokers Australia now and do not forget to share your opinion about them with us! Good luck!

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Online Forex brokers australia seem to be the top regulated brokers these days

Learning and development strategy and governance model

Learning and development strategy and governance modelPopular White Paper On This Topic

Hi, you can start by looking at your company's overall strategy and strategic goals. Also look at the Vision and Mission statement of the company. Is LD part of HRM in your company or independent department. You need to have a look at strategic goals of the HRM.

Once you are aware of these things, then you need to do TNA - Training Needs Analysis to find out training needs of your staff at different levels of the organisation.

With the help of all this information, you will have information to make your LD strategy and governance model.

Online Learning and development strategy and governance model

Online trading companies in usa

Online trading companies in usaPolymer Trading USA LLC

Polymer Trading USA is an international trading company that specializes in commodity resins. We work closely with distributors and manufacturers of all plastic products to find consistent and competitive sources of plastic resin. Our areas of specialization include polypropylene, polyethylene, polystyrene, PVC and PET.

We serve a diverse range of industries and companies because plastic resins are used in virtually every culture around the globe. Our extensive knowledge of the products and the manufacturers (supply) allows us to quickly and efficiently meet the needs (demand) of the distributor or end-user of the polymer products.

Polymer Trading USA has direct access to worldwide producers of polymer feedstock (polyolefins). Therefore, we can offer the distributor or manufacturer the broadest range of feedstock products. We focus on producers that maintain high levels of quality and consistency because we know the end user desires a high quality product also.

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Stochastic oscillator strategy

Stochastic oscillator strategyStochastic Oscillator Strategy

Introduction to the Stochastic Oscillator Strategy

Many successful binary options strategies are based on the Stochastic Oscillator but what exactly is this technical indicator all about and why is it so effective? A brief introduction is now presented in order to provide answers to these important questions.

Essentially, the Stochastic Oscillator is an indicator that is very effective at identifying new quality trading opportunities especially if the price of an asset is range-trading. You can deploy this tool to trade all assets using the advised parameter settings of 14, 3 and 3. You can attain the best results if you install the Stochastic Oscillator on trading charts utilizing the daily time-frame or higher because of the quality of the statistics associated with them.

You should execute a CALL binary option whenever you detect the faster moving Stochastic rising above the slowing one and open a PUT binary option when the faster moving line drops beneath the slower one. A number of examples are displayed in the following diagram.

You will find that the Stochastic Oscillator strategies are very simple to implement and are good tools for identifying quality entry locations for new binary options. However, you need to appreciate that this indicator is primarily lagging in nature implying that it produces alerts that occur sometime after the market conditions have moved on. Consequently, the SO may create signals that can be misleading, especially if you are a novice.

The SO can also produce other problems, such as the following:

Price can progress quickly in its original direction despite the Stochastic Oscillator signifying a crossover. Such events can happen because the SO lags real-time implying that new market conditions could contradict its readings.

Your binary options could become susceptible to sharp price surges, such as spikes, especially if your expiry times are quite long. Under such market conditions, as your Stochastic Oscillator strategy may respond too slowly to new stimuli, it may then fail to advise you quickly enough that corrective action is required.

The Stochastic Oscillator fundamentally measures the rate of change of the price of an asset. When price exceeds the average rate of change measured by the SO, then overbought and oversold conditions are registered. These are important events because when they occur, the SO is advising that sharp retractions in price could be imminent. The SO records overbought conditions when it produces reading of 80 plus and oversold statuses with values of 20 or less.

Binary options strategies have been created that exploit these features of the Stochastic Oscillator. Here is such an example which works particularly well using expiry times of one hour and Forex assets. When utilizing such a set-up, you are advised to track price movements using the 5-minute time-frame in order to detect quality entry points.

When activating such a strategy, implement the following procedure.

Locate an asset that is currently trading within a well-defined range denoted by a pronounced floor and ceiling.

Select the 5 minute trading chart and install the Stochastic Oscillator

The following 5 min chart for the USD/CHF demonstrates such an arrangement.

Although you can detect the lines of the Stochastic Oscillator fluctuating within a restricted range, you will only be interested in those times when they are either below 20 or above 80. This is because these values signify oversold and overbought statuses.

Your basic mission with this SO strategy is to identify these conditions because they often prelude sharp retractions. This is especially so when the asset is range - trading, as demonstrated in the above diagram. When you detect such circumstances, you should execute the standard binary option in the direction of the retraction using a 1 hour expiry time.

The specific entry requirements are as follows. Once you identify either an oversold or overbought status, then wait until both lines of the Stochastic Oscillator have bounced back out of these two extreme conditions. As such, if price is overbought and then retracts back out of this status, this is an excellent signal to execute a PUT binary option. Similarly, rallies from oversold conditions are good opportunities to activate CALL options. Examples of both these situations are presented in the above diagram.

Tips for Using the Stochastic Oscillator Strategy

If you do intend to deploy a Stochastic Oscillator strategy, then you should be aware of the following important points. First, the above example demonstrates a SO strategy in its most simplistic form. As such, you can assess and incorporate additional techniques that could refine and improve its performance. For example, you could integrate other technical indicators into your strategy in order to confirm the readings of the SO.

In particular, you must learn to detect the important oversold and overbought conditions with accuracy. You must only execute new binary options when price reverses out of them and at no other times. Do not let impatience force you to open premature trades as you could suffer severe losses.

Aim to apply this strategy only with assets that are definitely range-trading. You can apply SO strategies to trending conditions but make sure that you only open binary options in the direction of the dominant price movement, if you do so. This extra complication adds a level of difficulty that you are well-advised to avoid, especially if you are a novice.

So, how good are Stochastic Oscillator binary options strategies? Some traders claim that they have achieved impressive results by recording win-to-loss ratios as high as 85%. However, you should not consider such results to be the norm. Evidence does suggest that 70% is not an unrealistic target. With such an impressive track record, you are certainly well-advised to investigate the potential of Stochastic Oscillator strategies in more depth.

More posts to check out:

Online Stochastic oscillator strategy

Price alert

Price alertPrice Alert

The Metatrader for Price Alert Forex Indicator is for free. since we just located it on the internet, the Price Alert is really a great indicator and the greatest part is it’s a totally free currency trading indicator.

The mql file functions in Meta Trader 4 and Metatrader 5 (MT5) version, also along with other Meta Trader programs.

Do you think this Price Alert is the best indicator for Forex? If yes, feel free to rate the indicator. Please also jot down several things about Price Alert indicator in our comment post. For instance, you could write the methods of utilizing it and also the best option to trade it. We will view through your sincere rating and reviews as a very important thing you do to our pursuit on taking or even selecting indicators as Forex currency investors.

To be able to get the ideal results Forex investors will pick just the finest indicator that will work in sync with their projects. Henceforth our goal will be to boost the experience in order to give the traders the greatest experience feasible We are also continuously looking for the very best Forex indicators like the Price Alert. Which we will ultimately post to our website for the traders to download and employ to their hearts content.

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Strategy games

Strategy gamesGameHouse has a huge collection of download strategy games . No matter what you’re looking for, we have tons of free strategy games to choose from. Youll find brand new strategy games along with your old favorites. Download a strategy game today and come up with a winning strategy!

The power is in your hands in Build-a-lot 4 - Power Source, the electrifying new addition to the hit series of real estate games. Help an assortment of towns grow by strategically building all-new homes, shops, buildings and, most importantly, clean sources of energy. Construct solar towers, wind farms and even nuclear power plants to keep your cities humming and the cash flowing. Watch out for power overload! If you build too fast, you may experience a blackout and a whole neighborhood of unhappy renters.

Steer the fortunes of three pioneers in Westward 3, the latest chapter in the popular series of strategy games. When gold is discovered in the California wilderness, speculators flock west in hopes of striking it rich. Navigate uncharted terrain rich in natural resources and gather the supplies needed to build your dusty settlement into a thriving boomtown.

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Think hard for free fun today! Find these and many more strategy games at GameHouse.

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Forex vi gav maibritt falske penge med pa ferien

Forex vi gav maibritt falske penge med på ferienForex: Vi gav Maibritt falske penge med pa ferien

Politiet i København advarer om, at flere banker og vekslebureauer i Danmark har udleveret falske indiske pengesedler til kunder, der i god tro kan have taget sedlerne med på ferie.

- Det drejer sig om falske 1000 rupee-sedler, der er udleveret fra nogle pengeinstitutter og vekslebureauer, siger Tommy Keil, vicepolitiinspektør i afdelingen for økonomisk kriminalitet.

Han vil ikke sige, hvor mange sedler det drejer sig om, eller hvor de pågældende banker og vekselbureauer ligger.

- Det vil vi ikke oplyse, da vi er i gang med en efterforskning. Vi ønsker at advare folk mod disse falske sedler, så de ikke bliver anklaget for pengefalsk, når de er i udlandet, siger Tommy Keil til Ekstra Bladet.

Ekstra Bladet har tidligere skrevet om Maibritt Hansen, 54, der i sidste uge blev anholdt under sin ferie i Indien, fordi hun ifølge det lokale politi havde benyttet falske pengesedler.

Maibritt Hansens kvittering fra Forex på Nørre Voldgade. (Privatfoto)

Maibritt Hansen dokumenterede med en kvittering over for de indiske myndigheder, at hun havde købt sedlerne i Forex Bank i København. Hun er dog stadig under efterforskning i Indien og har fået inddraget sit pas, så hun ikke kan rejse hjem.

Forex Bank undersøgte sagen og afviste tirsdag, at man havde solgt falske pengesedler. Men efter en politimæssig efterforskning ser billedet anderledes ud, erkender direktør for Forex Bank i Danmark, Joakim Husted.

- Jeg kan bekræfte, at vi gennem vores leverandør har modtaget falske penge. Det første tjek af pengenes ægthed, der blev foretaget hos os og vores leverandør, kunne ikke bekræfte, at sedlerne var falske, siger Joakim Husted og tilføjer.

- Men vi har i samarbejde med politiet fået dem til at tjekke sedlerne, og politiet har fundet tegn på, at sedlerne er falske.

- Der er tale om falske sedler, der er meget sofistikerede, og vi er i gang med at undersøge, hvordan det kunne lade sig gøre, siger han.

Da vi talte sammen tirsdag, var du ret sikker på, at I ikke havde udleveret falske pengesedler?

- Ja, og det mente jeg på baggrund af de undersøgelser, som både vi og vores leverandør havde foretaget. Vi kunne ikke se, at sedlerne var falske.

- Det er desværre sådan, at de kriminelle ofte er et skridt foran, men vi er i fuld gang med at undersøge, hvordan det kunne lade sig gøre, siger Joakim Husted, der endnu ikke har overblik over, hvor mange kunder, der har fået udleveret falske rupee.

Men kan du slå fast, at Maibritt Hansen fik udleveret falske pengesedler, da hun vekslede hos jer?

- Ja, det kan jeg bekræfte, siger Joakim Husted og tilføjer, at Forex Bank samarbejder med de danske myndigheder for at få renset Maibritt Hansen for anklagerne i Indien.

- Jeg har skrevet til den danske konsul og til hendes indiske advokat og forklaret, at hun har handlet i god tro, siger Joakim Husted og tilføjer, at et andet dansk par i Indien også kom af sted på ferie med falske rupees.

Dette par, som Forex har været i kontakt med, er dog ikke blevet anholdt eller anklaget for pengefalsk af de indiske myndigheder.

Københavns Politi oplyser, at kunder, der har fået vekslet og modtaget helt nye indiske pengesedler, skal levere pengesedlerne retur til det sted, hvor de har fået dem vekslet.

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Advantages of trix-triple exponential average

Advantages of trix-triple exponential averageAdvantages of TRIX - Triple Exponential Average

Long-time readers of Technical Analysis of Stocks and Commodities magazine may remember that is was Jack Hutson, an editor of the magazine, that first introduced TRIX to the technical community.

What Is TRIX?

The triple exponential average (TRIX) indicator is an oscillator used to identify oversold and overbought markets, and it can also be used as a momentum indicator. Like many oscillators, TRIX oscillates around a zero line. When it is used as an oscillator, a positive value indicates an overbought market while a negative value indicates an oversold market. When TRIX is used as a momentum indicator, a positive value suggests momentum is increasing while a negative value suggests momentum is decreasing. Many analysts believe that when the TRIX crosses above the zero line it gives a buy signal, and when it closes below the zero line, it gives a sell signal. Also, divergences between price and TRIX can indicate significant turning points in the market.

TRIX calculates a triple exponential moving average of the log of the price input over the period of time specified by the length input for the current bar. The current bar's value is subtracted by the previous bar's value. This prevents cycles that are shorter than the period defined by length input from being considered by the indicator.

In the 2001-2002 chart of the SP 500 Index above, the first highly visible move was the downturn of the market after the disasters of Sept 11. There was a subsequent rebound in the third week of September, with the 15-day moving average turning quicker than the 30-day moving average. But keep in mind that the confirmation from the 30-day indicator is more conservative, so it assures the average buy-and-hold investor that the trend has truly turned. Look closely at how well the turns in the 15-day moving average line up with the turns in the price action.

This idea of a trendline violation in price can be looked at from another angle. Martin Pring, a well-known technician and author, noted this in his writings:

If we look closely at some of the other momentum indicators like a stochastics or a price ROC. we would find a similar pattern.

Online Advantages of trix-triple exponential average

Stock trading computer trading rules strategies for success free download how to reduce the emotiona

Stock trading computer trading rules strategies for success free download how to reduce the emotionaStock trading computer trading rules strategies for success free download how to reduce the emotional obstacles for a profitable forex trading

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My option trading

My option tradingOption Trading

In finance. an option is a contract which gives the owner the right, but not the obligation, to buy or sell an underlying asset or instrument at a specified strike price on or before a specified date. The seller incurs a corresponding obligation to fulfill the transaction, that is to sell or buy, if the long holder elects to exercise the option prior to expiration. The buyer pays a premium to the seller for this right. An option which conveys the right to buy something at a specific price is called a call ; an option which conveys the right to sell something at a specific price is called a put . Both are commonly traded, though in basic finance for clarity the call option is more frequently discussed, as it moves in the same direction as the underlying asset, rather than opposite, as does the put.

Options valuation is a topic of ongoing research in academic and practical finance. For simplicity of discussion, the value of an option is commonly decomposed into two parts: The first of these is the intrinsic value, which is defined as the difference between the market value of the underlying and the strike price of the given option. The second part depends on a set of other factors which, through a multi-variable, non-linear interrelationship, reflect the discounted expected value of that difference at expiration. Although options valuation has been studied at least since the nineteenth century, the contemporary approach is based on the Black–Scholes model which was first published in 1973. [ 1 ] [ 2 ]

Options contracts have been known for many centuries, however both trading activity and academic interest increased when, starting in 1973, options were issued with standardized terms and traded through a guaranteed clearinghouse at the Chicago Board Options Exchange. Today many options are created in a standardized form and traded through clearinghouses on regulated options exchanges. while other over-the-counter options are written as bilateral, customized contracts between a single buyer and seller, one or both of which may be a dealer or market-maker. Options are part of a larger class of financial instruments known as derivative products. or simply, derivatives

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Multi-strategy trading utilizing market regimes school of informatics

Multi-strategy trading utilizing market regimes school of informaticsMulti-Strategy Trading Utilizing Market Regimes School Of Informatics

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Forex brokers that allow ea

Forex brokers that allow eaMember Since Apr 20, 2010 812 posts DoubleTrap (ForexSeeker) Apr 21 2010 at 12:07

Oanda don't have MT4 for EA rite?

I using Martingale EA so need a nano lot account to reduce the capital to play.

E-Global seem o. k Here the live chat I found out.

Winter: Most demo has fix leverage even we try to choose it. What is the demo leverage?

Rina Dungdung: 1:500 on demo

Winter: what value of usd for 0.0001 lot. 1 pip = 0.01 USD.

Winter: Is hedging allow ?

Rina Dungdung: regards the lot size value for each account mini is I pip movement is 10 cents, micro is 1 cent and standard is 10$

Rina Dungdung: Yes we do allow hedging

Winter: So cent1 = micro account, cent2 = mini, classic = standard



Forex Scalping - Extensive Guide on How to Scalp Forex Forex scalping is a popular method involving the quick opening and liquidation of positions. Learn how to scalp forex. Not every trader is suited for forex scalping.

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Because FreshForex is not regulated, we strongly recommend potential clients to research the company and read the most recent user comments regarding customer satisfaction and performance.

To open an account, you must fulfill a minimal first deposit of $200, which is slightly lower than the average. Additionally, FreshForex offers a maximum leverage of 500:1, which is above average, meaning that a trader can purchase large positions with a small amount of capital.

The offered margin-call level of 40% could be fairly risky for unexperienced traders. A margin level below 100% indicates that the trader can continue to open new positions even when their overall equity has dropped below the open margin. If you choose to invest with FreshForex, we recommend that you monitor your margin level and beware of opening positions when your equity is below your open margin.

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Online trading canada

Online trading canadaDealing with Forex Trading Blues

Cant seem to pick a winner? Tired of the ever changing market? The trading blues are quick to cut in and ruin your trading system.

Depending on your trading style, you may be more or less likely to experience these trading blues. If you are a day trader or scalper, then youll probably agree that your profession is indeed a nerve wrecking one and requires a certain kind of mindset thats different from everyday life.

Regardless of the style youre using, here are five ways you can improve your trading environment, allowing you to minimize, if not eliminate your trading blues.

1. Have a Trading Buddy or Join in Trading Seminars

Having someone who understands all the roller coaster emotions associated with trading can help decrease the tension. There are a number of Forex trading Canada forums around the Internet where you can find like-minded traders. Ideally, youll want to choose someone who trades with the same style as yours.

Alternatively, you may want to participate in Forex trading seminars in your local area. Listen to what others have to say about the markets, find out which one will work for you and apply what youve learned into a trading plan. Trading seminars give various insights within the Forex markets and can help you get a fresh start in your trading venture.

2. Pursue Skill-building Activities

One of the reasons for your trading blues could be the fact that youve gone far beyond the fundamentals. Taking a look back to the basics of Forex trading and practicing skills such as analyzing candlesticks and drawing trendlines can help you feel comfortable again with your own trading style. This is a good idea if you have a lingering insecurity in your ability to trade especially after a series of losses.

3. Have a Complete Trading System

This plan should take into account the worst of times. Be prepared for anything, including the steps for trading in bear markets and what to do in worst case scenarios. Your plan should also include when to redeposit your account after some losses. You may be tempted to do that right after a huge loss so you can get back at the markets, but resist the urge. Revenge trading is a foolish and miserable way to earn money. The urge for revenge doesnt make sense because the market doesnt care a thing about you. Remember that the market is not your enemy, its a system. Your enemy is the one within you.

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Real estate now by dian hymer

Real estate now by dian hymerStrategies for trading up or down in this market

Dian Hymer is a top-producing real estate broker associate with Coldwell Banker in the Oakland/Piedmont office. Dian has over 30 years’ experience as a Realtor®; a nationally syndicated columnist for over 20 years. Diandianhymer ; (510) 339-4777

June 20, 2014

Being outbid by buyers who can pay all cash is bad enough. What if you have a home to sell before you can buy a new one?

Buying a new home and selling your current home is more difficult than it was to buy your first home. That is, for most people. If, however, you are able to pay cash for a new home, without selling first, the process is relatively easy. You buy when you find the right home, move in, have your house prepped for sale and sell it.

Most homeowners can't pay all cash for a new home. They need equity from their current home to close on a new home. In other words, they need some sort of interim or bridge financing to generate the cash they need to buy before they've sold their home.

Some homeowners have a home equity line of credit (HELOC) secured against their property. If so, this might be a source of cash for a down payment. Another option is getting a loan from someone other than a conventional mortgage lender, like a family member or a "hard" money lender, who wont put your financial situation to the scrutiny that a conventional mortgage lender will.

Coming up with enough cash for a down payment is only part of the solution. You need to satisfy the mortgage lender for the new home that you are financially able to handle double mortgage payments and the costs for interim financing. Lenders not only require excellent credit scores, the buyers will also need to verify sufficient income to cover the carrying costs while owning two homes. Many lenders will require that you have as much as six months of reserve funds to tide you over until your current home is sold.

One way to ease the pain of owning two homes is to rent your current home. The lender will require a rental agreement and will also want to see a cashed check to cover a month or two of the rent. Usually, 75% of the rental income can be used to help you qualify.

You will probably need to substantiate that you have 30% equity or more in the home youre selling. Some homeowners are still underwater on their current home. That is, the mortgage on that home exceeds its market value. If you can rent the property for enough to improve your loan-to-debt ratio, you might be able to quality. You could hold your current home until the market improves further and then sell it.

What if you cant qualify to own two homes under any circumstances? Either you stay put, or you sell first to free up your equity and lower your debt load.

In less competitive markets, it may be possible to buy a replacement home contingent on selling your current home. This rarely happens in the Bay Area today because of the low inventory of homes for sale and the high volume of buyers. Occasionally, a listing will sell contingent. Its usually one that hasnt sold for some time, often because its priced too high.

Even if you can find a listing to buy contingent, youll usually pay a premium price and the sellers will want a release or escape clause in the contract. This enables the sellers to continue to offer their home for sale. If they receive another offer they like better than yours, they accept it in backup position subject to the collapse of your contract with the seller.

Theres usually a time period attached to a release clause. Its often 24 to 72 hours. But, it can be whatever is agreed to by the buyer and seller. If you cant remove your sale contingency within that time frame, and provide verification that you can close without having your home sold, the property goes to the second buyer.

Recently, some Bay Area sellers who were trading down were able to buy contingent on the sale of their home if they were purchasing in a condominium project that had not completely sold out. In this case, you would have to price your home right for a quick sale.

Consider the risk of buying before selling. The market can turn on a dime. In the past, there have been buyers who had a house to sell that didnt sell quickly.

One buyer couldnt sell her Berkeley home. There was more demand for the townhouse she bought in Oakland. When her funds were depleted to a dangerous level, she put the townhouse that she just purchased on the market. It sold quickly, leaving her back where she started, less the $60,000 she spent on carrying and selling costs.

Its not convenient to move to an interim rental after you sell. But, there are some advantages. You dont risk the situation mentioned above. Youre not under pressure to buy any house just to move from one house to the other. Youll get a higher price on the house youre selling if there are no strings attached, like a long rent back period that might not be acceptable to the buyers lender. If youre moving for schools, you can usually enroll your children as soon as you can verify that you live within the school district.

Rentals in the Bay Area are just as hard to find as homes. Explore all resources, such as Craigs list, word of mouth and property managers who handle rentals in the area where your want to live. The rental just needs to be adequate. The home you buy should suit your needs for long term.

Online Real estate now by dian hymer

Welcome to athe traders resource to learn how to trade forex futures for profit

Welcome to athe traders resource to learn how to trade forex futures for profitWelcome to a The Traders Resource to Learn

How to Trade Forex Futures for Profit

A good time to start learning more about trading Forex markets and how you may trade forex currencies successfully is today so study forex futures to trade FX futures for profits and possibly start trading for a living from your home! FX Forex, also known as the foreign currency exchange, is all about currencies and money, including making-money by trading foreign currencies forex futures markets. Money from all over the world is purchased, sold and traded. By trading forex futures. basically any trader can buy and sell currency futures and possibly make profits. When dealing with the foreign currency exchange, it's possible to buy the fx currency of one country, sell it and make a profit. For example, a broker might buy a Japanese yen contract when the yen to dollar ratio increases, then sell the yen's and buy back American dollars for a profit.

For those of you who actively trade (or desire to learn how to trade) the financial and futures markets, there are a lot of other things outside the markets you should be following. But, I guess my bigger message is for those of you that arent in the futures markets, whether you trade them or not, the futures markets have a significant impact on what happens in the other financial markets, including forex, currencies, options and stocks. Thats why you should soak up every piece of good trading knowledge like a sponge in a quest to clearly see the bigger picture. Click-here for a free ezine service to trading knowledge. Get started learning in the comfort of your home, on your schedule, at no cost today. click-here NOW to take advantage of this traders ezine offer!

Today's Top Performing Forex Pairs:

You should seek out and soak up every bit of good trading knowledge you can absorb just like a sponge in a quest to clearly see the bigger trading picture and make money with lower-risk! Click-here for a free service providing access to trading knowledge and information to hep you learn how to make money trading the markets. Get started learning trading advice, tips and secrets from the comfort of your own home or office, and on your schedule. click-here NOW to take advantage of this special offer!

Forex is the largest market in the world and trades around the clock. Which currency pair is trending the strongest and where it's going?

Another important difference when comparing Forex futures markets to the stock market and day trading commodities is Forex has no physical location where it's really exchanged (such as a brick and mortar exchange) and FX markets never close. Forex involves trading between banks and brokers all over the world and provides 24-hour access during the business week.

Another big difference between stock market trading and forex spot market trading is Forex trading has much higher leverage vs the stock markets. When a futures trader trades Forex markets, the trader can expect much higher profits but needs good experience and understanding how FX works, including knowledge about forex trading hours. Unfortunately, there's also high potential for losing lots of your trading capital and account equity.

For new traders just getting started in trading forex and wanting to learn-how-to-trade-forex successfully, many commodity futures brokers provide lower-risk trading using the new mini-Forex markets. This has a smaller minimum deposit, usually $100. This makes it easier for those learning how to trade the Forex to have less of a chance of losing a lot of money and to learn how the system works.

usdjpy means US dollars and Japanese yen. It is important to learn what currency symbols mean when learning about the Forex. There are many books and websites dedicated on teaching traders about the Forex.

For those trading Forex Futures, using a a good commodity broker is of course a good idea. Brokers are professionals when it comes to trading on the Forex and their experience is invaluable, especially to the new trader. When it's time to look for a broker, consider the following factors.

One thing to look for when choosing a Forex broker is to go with someone that offers low spreads. The spread is calculated in pips, or the difference between the price at which currency can be purchased and the price it can be sold at any given time. Because Forex brokers do not charge a commission, they will make their money off of the spreads, or the difference. When choosing a broker, look at this information and compare that with other brokers.

Also, when searching for a Forex broker, look for one that is backed by a well-known financial institution. Forex bankers are generally associated with large banks or other types of financial institutions. If a broker is not with a large bank, keep looking. In addition, find a broker that is registered with the Futures Commission Merchant (FCM) and that is regulated by the Commodity Futures Trading Commission (CFTC). Make sure the broker is properly registered and backed by a large bank or institution ensures you're getting a reliable broker that is experienced in trading on the Forex.

When looking for a broker, make certain the broker has access to the latest research tools and data. It's important that brokers understand and have access to charts, graphs, news and data that are in real time. This will ensure the broker is making wise decisions based on accurate Forex forecasting. Also, look for a broker that can offer a wide range of account options. They should offer mini-accounts with a smaller minimum deposits and a standard account. This will give anyone interested in Forex trading the opportunity to trade at a level where they feel most comfortable.

The Truth About Trading and FX Markets

If you have ever done any research into Forex, you have no doubt heard a lot of different stories. These are all truths and realities that have to be considered and analyzed to the best of your ability but there are plenty of myths floating around as well. In order to help you get started as quickly and easily as possible, you should take a bit of time to really review and study all of your options and choices as well as learn what is really going on within the Forex market.

You first realization is that success rests firmly upon your own hands. If you do not have any success, it will be your own fault. Even if you work with a broker who makes trades for you, the failure is all yours. The success is all yours as well but of course comes across much nicer than a failure. Most people look for someone else to make responsible when things go wrong, but this is just not how it works.

You should also be very careful to realize that not everyone is going to be advanced in the markets. Some people have great difficulty coming up with the way that the market works. This is normal and tends to happen, especially in the beginning because of all of the choices that are offered. You need to ensure that you are keeping your options open but still remember that all of those options are a bit complicated and certainly none of them are easy.

You need to also do your research before you start trading. This will help you to form the correct opinions about each potential transaction. Not all investors are created equally and because of this there are some who will constantly run around freaking out over each small change and there are others who are very laid back. Most newcomers tend to be worried, which is something that will likely happen regardless of what you say or do before that first trade.

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Use good technical analysis based trading tools. Any charts, graphs and other materials should be closely studied before you take the time to get started on your investment to ensure that they are accurate and offer all of the best information. If the information is incorrect it will do you no good to take that information to use for the basis of your trades. You need timely price data for profitavle forex tradng and quotes on other futures prices.

Selecting a good commodity broker is also important when you are getting started. As an investor, you might not know anything about the Forex market initially and will require someone who is smart to help you set it up. This is where a broker comes into play; they are reasonably priced and great at helping to answer all of the questions that you might have in regards to the Forex market. Always feel free to shoot the broker you select a quick message. You have the ability to use their experience to your benefit and this is going to be a huge help as you are attempting to get started investing in Forex all on your own. Careful selection of brokers is important but certainly not impossible, so take your time to select the right broker for all of your needs.

Forex Market's Investment Myths

Many new Forex market traders have misconceptions about the entire system. They see people making money trading with the Forex market and automatically assume they can easily do the same. What they tend to forget it that there is strategy and research done in order to make successful trades and profits from trading. If you are new to the Forex market system, don't get caught up in popular investment myths. Be sure that you know exactly what to expect and be realistic when trading.

Protecting Your Financial Investments

Get Rich Quick - It's a serious financial system that can break your pocket if you are not careful.

One thing to remember when trading and trying to protect your investments however will be that you must take risks to gain. Along with taking a large risk, can come a large success or large loss. You have to be prepared for the worst. You can do this by educating yourself as much as possible on the trading system and your investments. The more you know, the better prepared you will be to make successful decisions. If you are unsure about a system of trading, like the Forex, be sure to take classes and read about the system before you begin trading. Only trade when you are certain you are ready to begin. Even after you learn what you need to know about the system and are a seasoned trader, there are times when you will have losses. The system is not one that protects your investments or your money in general. So, be prepared and aware of this issue. Being realistic can really help you gain more success.

Leverage in Forex Futures Trading

Trading leverage is both great when it comes to trading FX markets, but also dangerous. Trading fx currencies offers a high degree of leverage. Those who don't have a lot of money to begin with can use leverage to gain more trading profits. When used correctly, you can often do this in short amounts of time. Most people think however that this is something that can be done easily. Those who use leverage to their potential are often those with years of experience in trading. Some people tend to follow the myth that anyone will be able to easily use leverage to get rich fast. This is simply not true. You must be a trader with an excellent knowledge of the system in order to make leverage work to your maximu trading advantage.

Another thing to keep in mind is that just because you are trading with a minimum marginal deposit does not mean you should trade at levels above your portfolio. The myth that you can get away with this every time is not true. You should not over leverage yourself. By trading in small amounts, you will be able to make safe investments that will not result in huge losses. You will win some and lose some, especially when you are first starting out.

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When it comes to the Forex market, you should know that what you assume to be true may not be true at all. You may think that you can use the Forex market to protect your investments. You have learned from reading this however that the Forex may not protect your investments, and one should be diligent in watching their investments in order to avoid anything catastrophic. You may also think that you can get rich quickly using the Forex market. The truth is that short term trading, which is notorious for turning profits quickly, is not for the beginner. Those who have traded for years may try short term investing, but it is very risky indeed. Lastly, you may think that leverage will help you play with the big boys and still stay safe. This can be a horrible assumption and many people will over leverage themselves if they are not careful. So, do research, be smart, and think before you act when dealing with the Forex.

The World News is Considered Forex News

Forex traders know one of the advantages of their field is that the Forex market is open 24 hours a day, five and a half days a week. But a 24-hour marketplace means there's Forex news coming in constantly, too. With so much information coming from so many markets literally at all hours of the day, it can be hard to keep up with all the news available to you.

But at the same time, an informed trader is a successful trader. To make informed decisions on when to buy and sell currencies, you'll have to keep an eye on all the news you can get your hands on. Many Web sites make it relatively easy for you by corralling the Forex news into one place, often dividing it into subcategories for easy navigating. Any Forex trader, whether new or experienced, should find a news source he likes and check it often.

Many of these Forex news sites also offer commentary and analysis, beyond just a simple ticking off of the latest rates. Here you'll find experts talking about the issues involved and perhaps offering insights beyond what you would have come up with on your own. Some news sites charge a registration fee for access to all their materials, but it can be worth it in the long run.

Aside from running 24 hours a day, another reason there is constantly a stream of Forex news is that so many factors can influence a currency's strength. Natural disasters, government actions and other things such as foreseeable and unforeseeable events can cause a nation's currency to go up or down in relative value. An experienced trader will evaluate all the news and try to predict what effect it will have on the markets.

Often, Forex news isn't labeled as such. Any economic news at all can affect the Forex market; a sharp-eyed trader is on the lookout constantly for news that might impact his trading. In other words, a good trader will have to be an expert on world affairs, monitoring political, social and other developments in other countries. All of this, combined with the more specific Forex news dealing with the details of exchange rates and so forth, gives you the information you need to be successful at currency trading.

How do Interest Rates Drive Foreign Exchange Markets

The foreign exchange market, sometimes known as the Forex market, is one that is affected by several things. The market itself is becoming one of the most popular forms of trading today. It once was reserved for the richest of the rich, however today with lower minimums; this is a market that draws people from all financial levels. The attractive thing about this market is both its leverage and it liquidity. Many people with a grand background in the Forex system can take very little money and turn it into a lot using the foreign exchange market. However, when you have expertise in the foreign exchange market, you must also be aware of things that affect it. Being aware of these things is part of making logical and rational decisions of trading.

Interest rates are something that drives the foreign exchange market. While currency prices are what the market is all about, interest rates have a direct affect on those prices. Therefore, to be able to understand the current foreign exchange market, one must understand the current conditions of each individual interest rate. While economic and political conditions are also among the things that greatly affect the Forex, there is nothing that affects it more than interest rates. Something to remember is that money often follows interest rates. When the interest rates raise, investors will want to capitalize high returns and you will see money flowing into the country. When one country's interest rates rise, their currency is seen as being stronger than other currencies. This happens because investors seek more of that currency to profit more. Otherwise, it is seen as a good thing when interest rates rise and a bad thing when they fall.

Government participation in the Forex is not an uncommon action. Sometimes governments will flood the foreign exchange market with their own domestic currency. This action may seem foolish to someone who knows nothing about the foreign exchange market, however to those who know it well, it makes perfect sense. When governments flood the Forex with their own domestic currency, they are attempting to lower the price. When they buy their own domestic currency, they are attempting to raise the price. One might know this strategy as Central Bank intervention. Governments do this to help their overall economy. This is a type of action that keeps the foreign exchange market strong and steady. When you have extremely large players making appearances to keep everything as fair as possible, you create an attractive market.

While interest rates can drive the market for a short time, the nature of the foreign exchange market makes it difficult for them to drive it for a long period of time. The design of the market, with it being large in size and volume, restricts interest rates from having complete control over the system. Many times however, experts try to figure out when interest rates will rise or fall. The most common thing they do in order to keep up with rates is to pay attention to economic inflation indicators. Sometimes investors and experts will also listen to speeches from politicians and other influential people and analyze the impact of moves by the government open market committee. They may find clues in order to make a valid guess before the announcements are made. Most of the time, there is a little advance notice before interest rates move.

As you can see, the influences of interest rates on the foreign exchange market are strong. They can help determine which countries' currencies are the strongest. This of course is relative to all other currencies in the market at the time. When you think about the rise and fall of interest rates, you can remember that when interest rates fall, it is typically a good thing for investors and for domestic currency. When rates fall, it is not such a good thing. When rates stay low for an extended period of time, the market may seem a little dull, however the great thing about the foreign exchange market is that when government gets involved, which it usually does at these down times, there is hope for improvement. So, if you are beginning to learn about the foreign exchange markets. don't forget to pay attention to the rise and fall of interest rates around you in order to make the best long or short trading decisions.

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Forex money management-exit strategies

Forex money management-exit strategiesForex Money Management Exit Strategies

Submitted by Edward Revy on July 16, 2009 - 17:20.

We believe it is time to open a new Topic dedicated to Money Management.

Here we'll be posting trading systems and methods that help to control losses, evaluate and limit risks, improve win. loss ratio, in other words, everything related to money management in Forex.

We hope that this subject will create a new interest to money management in currency trading, and eventually help you improve a winning ratio of your favorite trading system.

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Forex brokers with rollover-free(swap-free)accounts

Forex brokers with rollover-free(swap-free)accountsForex brokers with rollover-free (swap-free) accounts

Below is the list of Forex brokers who offer Islamic or swap-free accounts with no rollover charges.

Benefits of rollover free trading

For certain currency pairs depending on the market position taken rollover can either be negative (means you have to pay) or positive (means you get paid). With rollover/swap free Forex accounts trader don't pay anything nor they get paid for holding positions past 17:00pm (ask your broker about the Time zone they use) when rollover is calculated.

Forex currency trading Accounts that receive no rollover/no swap can be a good option for traders who employ long term trading strategies, starting from holding trades longer than a day and up to a month or so, and who don't want to pay rollover fees.

Rollover/swap free Forex accounts are perfect for carry trade and hedging strategies where traders look to profit from holding currencies which earn positive rollover (with a broker that applies rollover/swaps) and at the same time look to offset any trading risks by hedging the same currency pair with another broker which applies no rollover fees, but instead charges a small commission.

And finally, here is a method of trading currencies with rollover-free Forex brokers:

What is a Forex Islamic account?

Under Sharia Islamic law, making money from money, such as receiving interest, is not permitted.

Wealth should be generated only through legitimate trade and investment in assets.

Basic principles of finance in Islam state that:

- giving or receiving an interest is not allowed;

- money cannot be traded for money, instead, money can be used to buy goods or services, which then can be sold for a profit.

In order to meet needs of Muslim traders Forex brokers offer Islamic accounts with strict compliance with Shariah Law:

Forex brokers with rollover-free (swap-free) accounts

Below is the list of Forex brokers who offer Islamic or swap-free accounts with no rollover charges.

Benefits of rollover free trading

For certain currency pairs depending on the market position taken rollover can either be negative (means you have to pay) or positive (means you get paid). With rollover/swap free Forex accounts trader don't pay anything nor they get paid for holding positions past 17:00pm (ask your broker about the Time zone they use) when rollover is calculated.

Forex currency trading Accounts that receive no rollover/no swap can be a good option for traders who employ long term trading strategies, starting from holding trades longer than a day and up to a month or so, and who don't want to pay rollover fees.

Rollover/swap free Forex accounts are perfect for carry trade and hedging strategies where traders look to profit from holding currencies which earn positive rollover (with a broker that applies rollover/swaps) and at the same time look to offset any trading risks by hedging the same currency pair with another broker which applies no rollover fees, but instead charges a small commission.

And finally, here is a method of trading currencies with rollover-free Forex brokers:

What is a Forex Islamic account?

Under Sharia Islamic law, making money from money, such as receiving interest, is not permitted.

Wealth should be generated only through legitimate trade and investment in assets.

Basic principles of finance in Islam state that:

- giving or receiving an interest is not allowed;

- money cannot be traded for money, instead, money can be used to buy goods or services, which then can be sold for a profit.

In order to meet needs of Muslim traders Forex brokers offer Islamic accounts with strict compliance with Shariah Law:

Online Forex brokers with rollover-free(swap-free)accounts