Forex en mexico-mercado de divisas en mexico

Forex en mexico-mercado de divisas en mexicoForex Mexico, el Hombre Colgado en USDCAD

Hoy en Forex Mexico acabo de realizar una venta del par usd/cad (dolar americano contra dolar canadiense) por tan solo .05 lotes, una cantidad pequena que me parece manejable y me gusta operar con ese tamano de lote por el momento. 05 lotes o lo que es igual a 5 microlotes, debido a que hay un hombre colgado y seguida por una envolvente bajista en el grafico de 4 horas hoy 22 de noviembre 2013 aqui lo puedes ver:

forex mexico 4 horas usdcad hombre colgado

Oportunidad de Venta en el par USD/MXN

En forex en Mexico uno de los pares que mas me gusta operar es el par USD/MXN por la sencilla razon de que vivo en Mexico y aunque es un par volatil (cual no lo es?) ofrece muy atractivas entradas y salidas, es decir compras y ventas, ademas estoy familiarizado con el tanto desde el punto de vista tecnico como fundamental.

Hace unos dias decidi realizar una venta en mi cuenta real de forex en Mexico en el precio de 13.16 pesos por dolar por la sencilla razon de que tecnicamente el ascenso de dolar se veia limitado pues se enfrento a un area de resistencia muy fuerte la cual no pudo superar, el area se encuentra en los 13.30 pesos por dolar, cuando el dolar intento superar dichas resistencias solo dejo mechas largas y enseguida venida velas duras bajistas, asi que me anime a realizar una venta.

Desde el punto de vista fundamental Estados Unidos a traves de la Reserva Federal seguiran con su programa de alivio cuantitativo es decir seguiran imprimiendo dolares de la nada por nadamenos que 80 0000 millones de dolares cada mes, si cada mes! y no parece que en el corto plazo esta politica vaya a cambiar.

Esta impresion de dinero tan desmedida esta causando la devaluacion del dolar, ya que este dinero que se crea de la nada tarde o temprando buscara rendimientos ademas de las bajas tasas de interes, siendo en Mexico mas altas .

Por todo lo anterior no me extranaria ver al peso mexicano acercarse a los 12.50 pesos por dolar en este o el siguiente mes, porsupuesto con el forex nunca se sabe por lo que hay que estar al pendiente de manera constante y operar con prudencia, yo solo vendi .05 lotes es decir 5 microlotes, una cantidad con la que me sienteo muy tranquilo y con un nivel de apalancamiento de 100 a 1.

Por el momento mi venta esta en positivo y voy ganando 75 dolares, aqui esta una imagen de mi posicion:

Te agradezco mucho que leas mis blog sobre el Forex en Mexico . yo opero con Alpari y la verdad hasta el momento he quedado muy satisfecho, espero tus comentarios, mucho exito y saludos!

Kurs rubla do dolara forex

Kurs rubla do dolara forexKurs Rubla Do Dolara Forex

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Zloty we wtorek zyskal wobec dolara; stabilny kurs franka i euro. zlotowka utrzymala we wtorek stabilny kurs w stosunku do glownych walut, nieznacznie. Ibngr obnizyl prognoze wzrostu pkb dla polski do 3,5% w 2015 r. procentowe tendencja aprecjacyjna nie bedzie jednak tak wyrazna, jak. Trzeba bylo pozyczac 7 lat temu, to bys pozyczal po kursie 1,99 zl za dolara.

Zloty we wtorek zyskal wobec dolara; stabilny kurs franka i euro. zlotowka utrzymala we wtorek stabilny kurs w stosunku do glownych walut, nieznacznie. Ibngr obnizyl prognoze wzrostu pkb dla polski do 3,5% w 2015 r. procentowe tendencja aprecjacyjna nie bedzie jednak tak wyrazna, jak. Trzeba bylo pozyczac 7 lat temu, to bys pozyczal po kursie 1,99 zl za dolara.

We have the best gallery of the latest Kurs Rubla Do Dolara Forex and images to add to your PC, Mac, Iphone, Ipad, 3d, or android device. Download Kurs Rubla Do Dolara Forex for free to set as dekstop background. This image posted by. If you want to use this wallpaper, please right click the image and select "Save Image As" to download the Kurs Rubla Do Dolara Forex to your computer or select "Set Desktop Background As" if your browser has that capability.

Kurs rupiah,dollar dan valuta asing lainnya

Kurs rupiah,dollar dan valuta asing lainnyaKurs Rupiah, Dollar Dan Valuta Asing Lainnya

Kurs/Rate/Nilai Tukar Rupiah Indonesia (IDR), Dollar Amerika (USD), Dolar Australia (AUD), Dollar Kanada (CAD), Dolar Singapura (SGD), Dollar Hongkong (HKD), Riyal Saudi Arabia (SAR) dll. Bank Indonesia, Bank Mandiri, Bank BCA, Bank BNI, Bank BTN, Bank Arta Graha, Bank CIMB Niaga, Bank Commontwealth, Bank Danamon, Bank Ekonomi, Bank BII, Bank Mega, Bank OCBC NISP, Bank Panin, Bank Permata, Bank Sinarmas, dll.

Kurs dollar. rupiah dan kurs valuta asing lainnya biasanya di update setiap hari kerja oleh Bank ybs. Perhatikan tanggal dan jam update terakhir yang dilakukan oleh bank tersebut, karena nilai kurs selalu berubah-ubah dari waktu ke waktu, walaupun pada hari yang sama. Lakukan konfirmasi langsung ke bank ybs bila Anda ingin melakukan transaksi atau penggunaan data.

Data kurs pada tabel dibawah ini bersumber dari website Bank BCA, Bank Mandiri, Bank BNI, Bank Danamon, Bank Panin, Bank BTN, Bank CIMB Niaga dan Bank BII .

Forex curs valutar online,curs

Forex curs valutar online,cursForex Curs Valutar Online, Curs

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Forex Curs Valutar Online, Curs

Que es-forex

Qué es-forex?Que es Forex?

?QUE ESTOY HACIENDO CUANDO OPERO FOREX?

Forex es una abreviatura de uso general para “foreign exchange” o "cambio de divisas" y se suele utilizar para describir el trading en el mercado de divisas por inversionistas y especuladores.

Por ejemplo, imagine una situacion en la que se espera que el valor del dolar de EE. UU. se debilite en relacion al euro. Un trader de forex en esta situacion va a vender dolares y comprar euros. Si el euro se fortalece, el poder adquisitivo para comprar dolares ha aumentado. El trader ahora puede volver a comprar mas dolares de lo que tenia al empezar, obteniendo una ganancia.

Esto es similar a las operaciones bursatiles. Un corredor de bolsa comprara una accion si piensa que el precio aumentara en el futuro y vendera una accion si piensa que su precio caera en el futuro. Del mismo modo, un trader de forex va a comprar un par de divisas si espera que el tipo de cambio aumente en el futuro y vendera un par de divisas si espera que el tipo de cambio caiga en el futuro.

?QUE ES UN TIPO DE CAMBIO?

El mercado de divisas es un mercado global y descentralizado que determina los valores relativos de las distintas monedas. A diferencia de otros mercados, no hay depositario centralizado o intercambio en donde las transacciones se lleven a cabo. En su lugar, estas operaciones son realizadas por varios participantes del mercado en varios lugares. Es poco frecuente que dos monedas tengan un valor identico el uno con el otro y tambien es poco frecuente que dos monedas mantengan el mismo valor relativo durante mas que un corto periodo de tiempo. En Forex, el tipo de cambio entre dos pares de divisa cambia constantemente.

Por ejemplo, el 3 de enero de 2011, un euro valia alrededor de $ 1.33. El 3 de mayo de 2011, un euro valia alrededor de $ 1.48. El euro se revalorizo un 10% con respecto al dolar de EE. UU. durante este tiempo.

?POR QUE CAMBIAN LOS TIPOS DE CAMBIO?

Las divisas cotizan en un mercado abierto, tal como las acciones, bonos, computadores, autos y muchos otros bienes y servicios. El valor de una moneda fluctua tal como su oferta y su demanda fluctua, al igual que cualquier otra cosa.

Un aumento de la oferta o una disminucion en la demanda de una moneda puede provocar que el valor de dicha moneda caiga.

Una disminucion de la oferta o un aumento en la demanda de una moneda puede provocar que el valor de dicha moneda se incremente.

Un gran beneficio de operar Forex es que usted puede comprar o vender un par de divisas en cualquier momento, sujeto a disponibilidad de liquidez. Asi que si usted cree que la zona euro se va a separar, usted puede vender el euro y comprar dolares (vender EUR / USD). Si usted piensa que el precio del oro va a subir, basandose en los patrones de correlacion historica, usted puede comprar dolar australiano y vender dolares de EE. UU. (comprar AUD / USD).

Esto tambien significa que en realidad no existe el "mercado bajista", en el sentido tradicional. Usted puede ganar (o perder) dinero cuando el mercado esta en tendencia hacia el alza o hacia la baja.

Cuenta Demo de Forex Gratuita

How to-photo editing

How to-photo editingSearch Results for: Walut

Przelicznik walut | kalkulator walutowy, Przelicznik kursu dolara, euro, pln, przeliczanie walut, notowania walutowe, kursy walutowe, notowania walut w kantorach. Wymiana walut, Wymiana walut - przelicznik walutowy - kalkuluje wszystkie dostepne waluty, uzywajac najswiezszych notowan.

Kursy walut, zlotowka online | czas na zysk, Sprawdz notowania zlotowki oraz wszytkich walut swiata online. zobacz aktualne wykresy i trendy. uloz wlasna liste obserwowanych walut. Przelicznik i konwerter walut w globtroter. pl - waluta, Dzial przelicznik walut powstal w celu ulatwienia uzytkownikom serwisu globtroter. pl przeliczania kosztow planowanych podrozy. korzysta on z aktualnych kursow.

Narodowy bank polski - internetowy serwis informacyjny, Biezace kursy srednie walut obcych w zlotych okreslonych w § 2 pkt 1 i 2 uchwaly nr 51/2002 zarzadu narodowego banku polskiego z dnia 23 wrzesnia 2002 r. w. Iranian rial exchange rates - rial (irr) currency, Iranian rial exchange rates and currency conversion. iran currency (irr). track rial forex rate changes, track rial historical changes. directory of best currency. Wymiona walut - akademia pieniadza - youtube, walutomat. pl - odcinek akademii pieniadza zrealizowany we wspolpracy z walutomatem, serwisem umozliwiajacym wymiane walut bezposrednio.

Fomc cycle trading strategy in quantstrat

Fomc cycle trading strategy in quantstratFOMC Cycle Trading Strategy in Quantstrat

Another hotly anticipated FOMC meeting kicks off next week, so I thought it would be timely to highlight a less well-known working paper, Stock Returns over the FOMC Cycle, by Cieslak, Morse and Vissing-Jorgensen (current draft June 2014). Its main result is:

Over the last 20 years, the average excess return on stocks over Treasury bills follows a bi-weekly pattern over the Federal Open Market Committee meeting cycle. The equity premium over this 20-year period was earned entirely in weeks 0, 2, 4 and 6 in FOMC cycle time, with week 0 starting the day before a scheduled FOMC announcement day.

In this post, well look to recreate their cycle pattern and then backtest a trading strategy to test the claim of economic significance. Another objective is to evaluate the R package Quantstrat for constructing trading systems and simulation.

Although the authors used 20 years of excess return data from 1994 to 2013, instead well use SP500 ETF (SPY) data from 1994 to March 2015 and the FOMC dates (from my previous post here returnandrisk/2015/01/fomc-dates-full-history-web-scrape. html ).

As there is not a lot of out-of-sample data since the release of the paper in 2014, well use all the data to detect the pattern, and then proceed to check the impact of transaction costs on the economic significance of one possible FOMC cycle trading strategy.

Croatian kuna

Croatian kunaCroatian Kuna

The Croatian Kuna is the official currency of Croatia, a country in Europe at the crossroads of the Mitteleuropa, the Balkans, and the Mediterranean. Croatia has diverse climates, mostly continental and Mediterranean. Croatia's Adriatic Sea coast is long and traced by more than a thousand islands. The countrys capital and largest city is Zagreb.

Monetary Fund data shows that Croatian nominal GDP stood at $ 69.357 billion or $ 15,633 per capita. In 2008, purchasing power parity GDP was $ 82.407 billion or $ 18,575 per capita.

According to Eurostat data, Croatian PPS GDP per capita stood at 63.2% of the EU average in 2008. Real GDP growth in 2007 was 6.0 percent.

The average gross wage of a worker in Croatia during the first nine months of 2008 was 7,161 Croatian Kuna (U. S. $ 1,530) per month.

In 2007, the unemployment rate defined by the International Labour Organization stood at 9.1%, after falling steadily from 14.7% in 2002. The unemployment rate then went up, reaching 13.7% in December 2008.

Privatization and the drive toward a market economy had just begun under the new post-Communist government when war broke out in 1991. As a result of war, economic infrastructure suffered massive damage, in particular in the revenue-producing tourism industry. From 1989 to 1993, GDP fell by 40.5%.

The Croatian state still controls a significant portion of the economy, with government spending accounting for up to 40% of GDP.

A backward judicial system is of particular concern, combined with inefficient public administration especially on issues of land ownership and corruption. Another problem is a huge and growing national debt.

The Croatian Kuna reappeared in 1939 when the Banovina of Croatia, established in the Kingdom of Yugoslavia, was due to issue its own money.

In 1941, when the Ustase formed the Independent State of Croatia, the Independent State of Croatia Kuna currency was created. This currency remained in circulation until 1945, when, along with other national institutions, it disappeared at the creation of FPR Yugoslavia.

In 1990, Croatia declared independence from Yugoslavia. The Croatian Dinar replaced the Yugoslav Dinar at par, and declined in value by a factor of about 70 until replaced by the Kuna a rate of 1 Kuna = 1,000 Dinar when introduced on May 30, 1994, beginning a transition period that ended December 31, 1994.

In 1994, coins were introduced in denominations of 1, 2, 5, 10, 20 and 50 lipa (the Croatian word for lime or linden tree), and 1, 2, 5 and 25 Croatian Kuna. The coins are issued in two versions: one with the name of the plant or animal in Croatian (issued in odd years) and the other with the Latin name (issued in even years).

Online trading-powerpoint ppt presentation

Online trading-powerpoint ppt presentationonline trading PowerPoint PPT presentation

Title: online trading

Smt. Chandibai Himathmal Mansukhani College

Class S. Y.BFM Topic Online Trading

(Bonanza) Group 1 Semester IIIDate 12th

September 2011 Submitted to

Prof. Pooja Nagpal

Group members

Dimple Punjabi (Roll no. 01)

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Priyanka Sukhramani (Roll no. 06)

Ashwini Shastri (Roll no. 08)

Deepa Sukhwani (Roll no. 09)

Harsha Matta (Roll no. 10)

Suraj Khatri (Roll no. 25)

Sunny Dharmani (Roll no. 28)

Introduction To Online Trading

An internet based stock trading facility.

Online Stock Trading companies are stock broker

for the investor.

Online Trading Websites in India trades mostly in

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TradePlus, made its first stock trade in 1983.

Developed in 1994.

History of Bonanza

Established in the year 1994.

Financial services

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Achievments

5th largest in terms of no. of offices for

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in for two consecutive years 2007- 2008.

Nominated among the Top 3 for the "Best Financial

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Online Trading Platform-ODIN

Instant updates, information, control and

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Latest personalized softwares.

Digital contract notes.

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Place orders

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Fully secure transactions via the internet.

Download free ebooks

Download free ebooksOption Volatility and Pricing

PDF | 475 pages | English | 35 MB Quote: One of the most widely read books among active option traders around the world, Option Volatility & Pricing has been completely updated to reflect the most current developments and trends in option products and trading strategies. The Author of this Book is Natenberg The Author of this Book is Natenberg Featuring: * Pricing models * Volatility considerations * Basic and advanced trading strategies * Risk management techniques * And more! Written in a clear, easy-to-understand fashion, Option Volatility & Pricing points out the key concepts essential to successful trading. Array ISBN. Array ISBN. Option Volatility and Pricing available in English. Drawing on his experience as a professional trader, author Sheldon Natenberg examines both the theory and reality of option trading. Option Volatility and Pricing available in English. He presents the foundations of option theory explaining how this theory can be used to identify and exploit trading opportunities. Option Volatility & Pricing teaches you to use a wide variety of trading strategies and shows you how to select the strategy that best fits your view of market conditions and individual risk tolerance. New sections include: * Expanded coverage of stock option * Strategies for stock index futures and options * A broader, more in-depth discussion volatility * Analysis of volatility skews * Intermarket spreading with options DOWNLOAD LINK: Code: /dl/73123990/12b640b/Natbrg20-20opt20prcing20and20vol. pdf. html Search my profile & find more stuff for yourself.

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Option Pricing with Constant Time Varying Volatility Willi Semmler Center for Empirical Macroeconomics, Bielefeld, Germany; The Bernard Schwartz Center for Economic Policy Analysis, New York, NY, USA

Curs valutar online in timp real,cotatii valutare eur

Curs valutar online in timp real,cotatii valutare eurCurs valutar online in timp real, Cotatii valutare Eur/Ron, Usd/Ron

Termeni Curs valutar online

Curs valutar online

Cursul de schimb al unei valute afisat in timp real, calculat pe piata valutara nationala sau internationala. Se mai foloseste si termenul de curs valutar in timp real sau curs valutar interbancare.

Curs valutar online Forex

Cursul valutar online inregistrat pe piata Forex, este redat in timp real si este suportul pe care se realizeaza tranzactiile valutare.

Cursuri valutare

Pretul la care o valuta poate fi cumparata la schimb cu o alta. De exemplu cursul valutar Euro/RON in data de 22 decembrie a fost de 4,3011 lei pentru 1 Euro. Cursul de schimb poate fi cel oficial numit si curs valutar BNR sau cursul de schimb publicat de o banca sau o casa de schimb. Cel mai bun curs de schimb valutar il gasiti pe moneycenter. ro

Cursul de schimb care echivaleaza valoarea a 2 monede nationale diferite. De exemplu atunci cand cursul valutar online pentru 2 monede este la aceeasi valoare, 1 Euro = 1 Dolar.

Schimb valutar

Operatiune prin care o suma de bani se transforma intr-o alta moneda, la un anumit curs valutar. De regula un schimb valutar se realizeaza de catre banci sau de catre casele de schimb valutar. Cursul valutar la care se realizeaza un schimb valutar se stabileste pe baza cererii si a ofertei.

Constructing asystematic momentum

Constructing asystematic momentumConstructing A Systematic Momentum/Mean Reversion Strategy With SPY

The last thirty years of financial academia have done a good deal of work on constructing optimal portfolios based on things such as expected return, variance, and correlations. I am going to highlight a way to increase risk-adjusted returns by using systematic long/short strategies on an individual ticker. We are going to use the SPDR SP 500 ETF (NYSEARCA:SPY ) here for its preferable liquidity (and thus cheaper borrowing cost), its familiarity, and its implied diversification (because it is an ETF and not, say, an individual name that would have a large error term from earnings announcements, etc.).

Choosing an Algorithm

We are going to be constructing very simple algorithms that only use one input in pricing the security. For those unfamiliar (or if algorithm is a scary word), all we are going to be doing is coming up with a systematic (no inputs from the trader/investor) rule for trading the security. The algorithm we are going to use is very simple: -1* (Yesterday's Price). So, for example, if SPY increased by 2% yesterday, we will short the SP at a rate of 2%. If SPY increased the next day by 3%, we will short at a rate of 3%. The amount shorted will be adjusted for volatility later, but all that is important is that on the second day, we are shorting 50% more (3/2) than on the first day.

Exhibit 1 shows the daily returns of this strategy. Note that we have not introduced any sort of scale (and as such, a 0.05 return does not necessarily imply a 5% return).

(All data from Yahoo Finance)

Exhibit 1: Daily Returns of Short-Term Reversion Strategy

This reversion strategy carries with it some beneficial properties, namely that from 1994 to 2014, it returns on average .00255 units per year. This indicates a profitable strategy. The cumulative daily returns of the strategy are shown in Exhibit 2.

Adjust for Volatility

To compare apples to apples our algorithm, we adjust the standard deviation of the daily returns by multiplying by a constant factor (think of this as leverage or cash held in the portfolio) such that the annual volatility of the algorithm is similar to that of the SP. For the purposes of this article, I used the realized historical volatility of the SP 500, 19.6%. If you are curious, the factor was 46.655 for the short-term algorithm.

This was done by taking the sample standard deviation over the past twenty years of the SP 500 and annualizing it (because the observed standard deviation is a daily number) - yielding 19.642%. The annual standard deviation of the reversion strategy (before volatility adjusting) is 0.042% (this number is essentially meaningless because if I multiply all of my signals by a constant I can change it drastically). Thus, 19.642% / 0.042% = 46.65.

As a quick note, this implies that we are comparing our returns on a risk-adjusted basis, which is a very valuable analysis technique. The comparative Sharpe ratios of these return streams will be proportional to the returns that we calculate.

Exhibit 2: Cumulative Returns of Short-Term Reversion Strategy, 1994-2014

As you can see, this strategy performed incredibly well in 2008/2009, and if you look carefully, this strategy performs well when SPY is most volatile, and it performs not as well (although still positive on average) when SPY is tranquil. Exhibit 3 shows the returns of SPY versus the Short Term reversion algorithm.

Exhibit 3: Comparative Returns of Short-Term Reversion Strategy vs. SPY, 1994-2014

Fascinatingly, the Short-Term Reversion algorithm has cumulatively outperformed the SP over the past 20 years, helped greatly by its performance in 2007-2009 and is uncorrelated to the underlying, SPY!

For sake of comparison, however, let's observe the year 2013, when volatility was relatively low and SPY posted a large return. As we can see, the strategy performed well, but not nearly as well as SPY.

Exhibit 4: Comparative Returns of Short Term Reversion Strategy vs. SPY, 2013

Adding Momentum

If we see that a reversion strategy works well, let's observe if there is benefit in holding a momentum component to a portfolio. We have observed already that the SP has been mean-reverting in the short-term (if we reversed the mean-reversion signals, we would simply get the inverse returns - largely negative), let's test if momentum is effective in the long-term. The signal we are going to use now is the cumulative return of the past 12 months of SPY. So if SPY was up 10% in the last year, we will purchase 10 units and if it was up 15% in the last year, we will purchase 15 units. Note that here we are trend-following (there is no -1 factor in the algorithm). This strategy's daily returns can be seen in Exhibit 5. We can observe that the volatility of the events of 2008/2009 caused a much larger effect for the momentum strategy than on the reversion strategy. This strategy returns an average of .008 units per year (these units cannot yet be compared to the reversion strategy returns until they are also volatility normalized).

Exhibit 5: Daily Returns of Long Term Momentum Strategy

Putting It All Together

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Washington federal,incstock quote&summary data

Washington federal,incstock quote&summary dataETFs with WAFD as a Top 10 Holding*

**Green highlights the top performing ETF by % change in the past 100 days.

Company Description (as filed with the SEC)

Washington Federal, Inc. formed in November 1994, is a Washington corporation headquartered in Seattle, Washington. The Company is a bank holding company that conducts its operations through a federally-insured national bank subsidiary, Washington Federal, National Association ("Bank"). As used throughout this document, the terms "Washington Federal" or the "Company" refer to Washington Federal, Inc. and its consolidated subsidiaries and the term "Bank" refers to the operating subsidiary Washington Federal, National Association. The Bank is a national bank that began operations in Washington as a state-chartered mutual company in 1917. In 1935, the Company converted to a federal charter and became a member of the Federal Home Loan Bank ("FHLB") system. On November 9, 1982, Washington Federal converted from a federal mutual to a federal capital stock savings association. More.

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Sophisticated trading and investment solutions from abu dhabi

Sophisticated trading and investment solutions from abu dhabiSophisticated trading and investment solutions from Abu Dhabi

ADS Securities 2015. All rights reserved

ADS Securities L. L.C. is a limited liability company incorporated under U. A.E. law. The company is registered with the Department of Economic Development of Abu Dhabi (No. 1190047) and has its principal place of business at 8th Floor, CI Tower, Corniche Road, P. O. Box 93894, Abu Dhabi, United Arab Emirates.

ADSS is licenced by the Central Bank of the United Arab Emirates to act as a financial and monetary intermediary in the conduct of financial and monetary brokerage business for the sale and purchase of currencies and intermediating in money market transactions as permitted in accordance with Central Bank Resolution Number 126/5/1995 (as amended) and to carry out certain categories of financial investment business as permitted under Central Bank Resolution Number 164/8/1994 (as amended).

Trading foreign exchange, foreign exchange options, foreign exchange forwards, contracts for difference, bullion and other over-the-counter products carries a high level of risk and may not be suitable for all investors. Past performance of an investment is no guide to its performance in the future. Investments, or income from them, can go down as well as up. You may not necessarily get back the amount you invested.

All opinions, news, analysis, prices or other information contained on this website are provided as general market commentary and does not constitute investment advice, nor a solicitation or recommendation for you to buy or sell any over-the-counter product or other financial instrument.

Sophisticated trading and investment solutions from Abu Dhabi

ADS Securities 2015. All rights reserved

ADS Securities L. L.C. is a limited liability company incorporated under U. A.E. law. The company is registered with the Department of Economic Development of Abu Dhabi (No. 1190047) and has its principal place of business at 8th Floor, CI Tower, Corniche Road, P. O. Box 93894, Abu Dhabi, United Arab Emirates.

ADSS is licenced by the Central Bank of the United Arab Emirates to act as a financial and monetary intermediary in the conduct of financial and monetary brokerage business for the sale and purchase of currencies and intermediating in money market transactions as permitted in accordance with Central Bank Resolution Number 126/5/1995 (as amended) and to carry out certain categories of financial investment business as permitted under Central Bank Resolution Number 164/8/1994 (as amended).

Trading foreign exchange, foreign exchange options, foreign exchange forwards, contracts for difference, bullion and other over-the-counter products carries a high level of risk and may not be suitable for all investors. Past performance of an investment is no guide to its performance in the future. Investments, or income from them, can go down as well as up. You may not necessarily get back the amount you invested.

All opinions, news, analysis, prices or other information contained on this website are provided as general market commentary and does not constitute investment advice, nor a solicitation or recommendation for you to buy or sell any over-the-counter product or other financial instrument.