Wskaznik Przeplywu Pienieznego (Money Flow) — Wskazniki forex

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Wskaznik Przeplywu Pienieznego (Money Flow) — Wskazniki forex

Forex trading strategy #7-a (The stupid guy system)

Submitted by User on December 12, 2020 – 18:29.

Submitted by Wolf (Riza Hariadi)

HELlo! Im Back. Im Wolf from Indonesia

Today I want to share my „Stupid Guy” Trading System that can make pips up to 50-100 pip a day! ^_^

Pair = EUR/USD only

Time Frame. 15 Minute Only

Zoom out to 50 or 75 percent to see the magic.

And the secret is. MACD!

Patient is the key, and you may sometimes checkout the Histogram Divergence to spot next cross. Don’t forget to set trailing stop (SL+), Avoid News, Cut Loss when MACD cross again (almost never happen)

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MT4 Windows Phone

MetaTrader 4 is available for those with devices running MS Windows Mobile operating system. This is an operating system for Windows mobile devices issued prior to 2020. The platform is currently deprecated, meaning Microsoft no longer supports it. However, if you are running an older Microsoft mobile product, you will be able to connect your MT4 account to it to enjoy full trading functionality, including placing orders and reviewing your trade history. Below are the files you can use to download MT4 and trade your ThinkForex account from your Windows mobile device.

ThinkForex is a trading name of TF Global Markets (Aust) Pty Ltd. holder of Australian Financial Services License number 424700.

Risk Warning: Trading Forex and Derivatives carries a high level of risk. CFD investors do not own, or have any rights to, the underlying assets. It involves the potential for profit as well as the risk of loss which may vastly exceed the amount of your initial investment and is not suitable for all investors. Please ensure that you fully understand the risks involved, and seek independent advice if necessary. Also, see the section titled “Significant Risks” in our Product Disclosure Statement, which also includes risks associated with the use of third parties and software plugins.”

The financial products shown on this website are issued by TF Global Markets (Aust) Pty Ltd, trading as „ThinkForex”, the holder of Australian Financial Services Licence number 424700. A Product Disclosure Statement (PDS) for the financial products and Financial Services guide (FSG) is available here. You should consider the PDS when deciding whether to acquire one of our financial products.

**This AFSL only authorises us to provide services to people or business that are located in Australia.

In order to register for a ThinkForex product including demo and live trading accounts you will need to submit your contact details. You may be contacted by a representative of ThinkForex with information related to the full features of the products and services on offer. If you would like to stop receiving communication you can request this by calling or emailing accountsthinkforex or using the unsubscribe links on emails received. Please see our Collection Statement and Privacy Policy for more information.

We may provide you information, news and analysis from third party providers including but not limited to Reuters, Ransquawk and Autochartist. Content is not produced, monitored or verified by ThinkForex and we accept no liability for the accuracy of the provided information. *Free: Items that are indicated as FREE are available without any terms and conditions, with the exception of any promotional offers that have terms and conditions attached. *Must meet minimum volume requirement of 10 lots per month to receive a free VPS. †Negative balance protection refers to the act of clearing a negative balance from your account, not protecting your account from falling negative. It is our current policy to clear negative balances by making a cash adjustment to the account.

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Best paypal brokers

Best Paypal Brokers

Knowing the value of money, spotting which currencies are set to rise and fall and having a general sense of the financial market are essential skills when dealing in the foreign exchange. However, another skill in which a trader must be proficient is the movement of money. While it’s one thing to make money in the Forex world, it’s another to actually realise any profits in a physical form.

Transporting funds to and from an FX broker can be somewhat trickier than many would expect; especially if a trader is in certain regions of the world. Indeed, because Forex brokers offer services to customers across the globe there is a need for them to offer a range of deposit and withdrawal options. For many investors the most convenient choice is their debit or credit card, however sometimes this isn’t always a viable option.

To help giving aspiring traders the greatest financial flexibility possible most brokers will offer PayPal as a deposit/withdrawal option. Known as the leading online financial exchange in the world, PayPal provides secure third-party processing between the user and the site they wish to conduct a transaction with. For both brokers and traders this flexibility is fantastic because it gives them a safe way to transfer money without having to deal directly with each other’s banks.

At fxBrokerSearch we realise that having the ability to choose a site that offers multiple processing options is crucial and that’s why we’ve compiled the best PayPal brokers on the market. Through our extensive market research and analysis we’ve collated the top FX brokers offering PayPal as a deposit/withdrawal option and filtered them into one handy table.

By searching through the list below users can see our top PayPal brokers and the trading conditions they offer. Ranked by usability, efficiency and cost, we’ve made it easy for someone to choose the best FX broker for their needs.

For those that don’t have a PayPal account but would prefer to use this option, the registration process is simple. Indeed, by entering a few details they can quickly filter money through PayPal into one of our specifically chosen Forex brokers.

Intraday day trading strategy

Intraday Day trading Strategy

Intraday Day trading Strategy

Just check the Avg Trading price after the closing if the stock has run up today like Reliance Capital on 12/3/2020 so AVG trading price is lagging behind so next day means on 13/3/2020 Reliance Capital will revisit the Avg Trading price of previous day or near that anybody can check randomly on any stock or Indices from NSE historical Data for 365 days 95% it will touch the previous ATP and incase of Index futures far or close to 10 points of ATP. It can be verified from NSE data of any counter which is traded in volume daily not the counters which have 1 day story in a year. Any counter which has sharp rise or deep cut on a trading day would be ahead of ATP if breakout or Lagging behind in ATP if had a deep cut. So profitable trading decision can be taken

CAIRN India is ahead of ATP on 12/3/2020 (ATP 231)

after closing on 13/3/2020 anybody can see n verify by just checking open high low n close of 13/3/2020

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Macd and bollinger binary option trading strategy

MACD and Bollinger binary option trading strategy

BOS 6 February 2020 Binary options strategies Comments Off on MACD and Bollinger binary option trading strategy 1,930 Views

Today I want to explain to you a strategy to work with binary options to 60 seconds that we are successfully testing which is based on the analysis of Japanese candles chart in which we have added the indicator MACD 12-26 with mobile media to 9 periods to which we have applied Bollinger bands. The strategy is revealed extremely effective both for inputs in Put that in Call. Now what we are going to analyze are the inputs in Put.

The image above speaks for itself. In the upper part you find the candles chart of the Pound (GBP) compared to the american dollar (USD) and below the indicators of the MACD (continuous blue line) with the relative mobile media (dashed blue line) and the Bollinger bands that draw a sort of channel. Our strategy is that to enter with an option PUT (that is in short) when the MACD crosses the middle line from top to bottom in the proximity of the upper part of the Bollinger band.

Just to let you observe the power of this signal I want to show to you an image of a continuous sequence of this type of signal that provided us with continuous successes.

Register you to 24option hence to open your DEMO account.

Made the minimum payment to open the account.

Ask immediately a demo account on which you can make all your tests.

Once you learn the right strategy you begin to operate with real money.

From this strategy is born an observation which led us to another strategy on the binary options to 60 seconds: strategy of the cusps of the MACD.

Dividend stripping with cfds

Dividend Stripping with CFDs

There are a number of trading strategies CFD traders can use over dividend periods and one of these strategies is referred to as dividend stripping. Dividends stripping revolves around buying shares prior to the dividend being paid and selling those shares just after that payment.

The idea of trading for dividends is not by any means new. If an enterprise pays a yearly dividend of, say, 7 per cent they will usually make two payments of approximately 3.5% per dividend. This is not really a huge return on investment but what if you could use leverage to gear your position up to 15 times using CFDs? The return now soars to 52.5% on the margin money utilised.

This sounds much more attractive, huh? But this theory has one flaw; granted you will stand to receive a 52.5% return in cash on dividend paying day but in reality the share will drop by the amount of the dividend on the ex-dividend date, losing 52.5% of the margin requirement for a zero end return. But wait, all is not lost yet.

The great thing about contracts for difference is that many of the strategies that have been developed over the years for share trading can be used with CFDs, and cost a lot less because of the leveraging of your money. One of these strategies is known in the hedge fund industry as dividend stripping or dividend play, and in some cases using CFDs can make all the difference between a marginal profit and a gain worth making.

Active share traders have traditionally done dividend stripping by buying the equities. The way it works is that the trader buys the shares before they go ‚ex-dividend’. When the shares go ex-dividend, the shareholders no longer qualify to get the dividend, which is usually issued a few weeks later so a company’s share price will usually fall to account for the cash bound for investor’s pockets (and leaving the balance sheet). Now when a company issues a dividend, there are several expected actions.

First, shares often rally in anticipation of the dividend to be issued, so in the last couple of weeks before the announcement, the price will rise. This is because of buying interest from investors wanting to hold the shares on the ex-dividend date and thus qualify for the payment. After the date, when the companys shares are trading ex-dividend, in theory the share price drops back by the amount of the dividend. This drop happens because a dividend payout automatically reduces the value of the company and the investor would have to absorb that reduction in value as neither the buyer nor the seller are eligible for the dividend. In practice, particularly with quality companies, the price does not drop by the whole amount of the declared dividend – stocks with good momentum often don’t fall by the full amount. Thus a trader could buy the shares via a CFD, banking the dividend and get out just before the share price has fully settled down often translating into a profit in the process.

An alternative trading strategy is to buy before the ex-dividend date and sell either the day before or on the date to take advantage of the run-up before the dividend payment. Even another strategy revolves around buying the stock on the ex-dividend date and selling it a few days later to pick up the recovery after the drop.

Of course the ex-dividend effect is obviously only one of the dozen or more factors that typically influence a share price. It doesn’t by itself dictate that the share price will necessarily drop by an amount equivalent to the value of the dividend. If it happens to be a day when no other stock/sector/market factors are in play, it can do just that. Other factors might outweigh it – but within that mix of factors, going XD will be a negative one. And if the outlook for that particular stock is a bit iffy or markets are negative, and holders were only staying onboard to qualify for the divi before leaving, XD day sales can sometimes be the catalyst that kicks off a downward slide. If the dividend is only a tiny one it might have almost no noticeable effect at all.

Naturally, the best time to take advantage of a dividend trading strategy is during a bullish market as this allows you to buy and hold a contract for difference for a number of months including the dividend paying periods, potentially offering you the benefit of a capital gain plus an income stream via the dividends. This trading strategy works better in a bullish market because the dividend effect is typically not strong enough to overcome rapidly falling share prices in a bearish market. Couple this with the fact that you are leveraging your holdings using CFDs and you can being to appreciate how substantial gains can be made using this strategy.

CFD Dividend Trading Strategy

Like traditional shares, contracts for difference have the added benefit of dividend income (90% of gross dividend) on ‚long’ positions (do check this with your provider or broker as different providers may have different policies regarding dividends). This is calculated on the close of business the day before the stock’s ex-dividend date. After the 10 per cent dividend tax has been deducted, you would expect to get about 90% of the gross dividend. Note that if you hold a ‚short’ position this will work in reverse as you will then be liable to pay an amount matching the dividend payment. The ex-dividend date was created to allow all outstanding deals to be finalised before the record date. If an investor does not own the share before the ex-dividend date, he or she will be ineligible for the dividend payout. Most stock broker firms will pay out the dividend in a timely manner, mostly within a week although theoretically they could leave it until the payable date which could be as much as a couple of months. A CFD mirrors the underlying share with the additional benefit of instant settlement as the dividend payment is usually immediately settled as soon as the stock goes ex-dividend.

Understanding dividends and ways to trade contracts for differences around dividend periods is vital when developing your CFD trading plan. There are a couple of ways that dividend stripping is implemented, and these can be done with the advantage of leverage by trading in contracts for difference, which will allow you to capture the price gains without finding the full share purchase price. One way is to trade the shares on the day before they go ex-dividend, and sell them immediately afterwards. If the price does not drop by the whole amount of the dividend, as frequently happens, then the trader stands to gain perhaps 0.5% by this strategy. Using CFDs with the built-in leverage allows you to gain perhaps 5% instead (not bad for a couple of days trading!), which makes the risk much more worthwhile. The interest charged for the CFDs will be minimal, as you do not intend to hold them for long but dealing costs (entry/exit commission fees) will still be key. So, if you buy a contract for difference then instead of buying £10,000 shares you can buy exposure for £100,000 and get ten times the return.

Another way to implement dividend stripping, which is slightly longer term, is to buy the shares, or in this case buy the CFDs on margin, a few weeks before the dividend is declared and the stock goes ex-dividend. You then have a choice of selling before the ex-dividend date, profiting from the run up which should raise the share price, or including the strategy above, where you collect the dividend and expect that the share price will not fall by the full amount (this is especially tru during bullish markets).

As an actual example, consider the Commonwealth Bank of Australia three years ago. The stock was trading on the 5th February 2007 at $50.40. A dividend of $1.07 was declared, which would go ex on the 19th February. In the run up, the stock traded up to $51.81, and on 21st February, after going ex, the stock was at $50.51. Buying on the 5th February, you could have made $1.41 per share by selling before the ex date, or $1.18 by taking the dividend and selling a few days later. With the leverage of a CFD, that would mean that for a margin of about $5 you would receive well over $1 in return.

EDIT: ‚Dividend fishing’ isn’t an easy game. That isn’t to say it cannot be done. There are traders who weigh what they perceive to be the likely factors in play on ex-dividend for a particular stock. If they can see that factors other than the XD-effect are going to bump up the share price regardless, they might choose to go fishing, capture the dividend, bank a profit on the trade, and might consider that a win-win transaction. But arguably the trade win is smaller than it would have been without the ex-dividend factor (ie the share price rise would have been higher by the amount collected as dividend), so there is perhaps no real gain in doing it that way. But it shifts part of their gains into income rather than capital gain, so I guess there are ways in which that might be advantageous to some players.

So the tax implications of dividend income should also be considered. Contracts for Differences are subject to (CGT) capital gains tax at 28% in the United Kingdom, however dividends are only taxed at 10%. Thus, if you are believe that you likely to exceed your annual personal CGT allowance of £10k, this potentially opens up a way to reduce your tax liabilities. Whichever perspective you see it there are definitely opportunities around dividend time for both traders and investors and although dividend income is naturally more appealing to long-term investors, the speculative trader would do well to not ignore it either as dividends can still play a role in the CFD trader’s strategy.

Note: The ex-dividend date is the first day on which it is no longer possible to buy the shares and qualify for the dividend. The record date is usually two days after the ex-date. The payment day is the day on which funds are transferred to shareholders. In practice the only date you need to worry about is the ex dividend date, which is usually a Wednesday – if you want the dividend, make sure to be in by close of play on the Tuesday or the day before, the stock will then go ex-dividend the following day normally suffering a price adjustment to allow for the dividend being paid some time later normally about 6 weeks I believe on the Payment Date. You do not need to be holding the shares on the Payment date to qualify, just have them on ex-dividend day.

Different forex trading strategies

Different Forex Trading Strategies

In a typical Forex transaction a party buys a certain amount of one currency by paying for a certain amount of another. And since this is a worldwide, decentralized financial market, there is a great trading volume, leading to high liquidity, which in its turn helps lend itself to a more stable market. This information has to be known when choosing your own personalized Forex trading strategy. Today there are a lot of different trading strategies as well as a lot of different opinions, however only a few have a proven track records at being really effective. Making substantial profit not just requires choosing the proper trading strategy for you, but as well using those trading strategies to help you define the Forex trading signals that enable you to time an entry points into a specific currency pair.

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In fact, today breakout is considered to be one of the easiest strategies to apply as well as could be the most profitable while monitoring the charts. In fact, short term breakout trading is traditionally based on chart strategy that lends itself to technical analysis strategy and is considered to be a great tactic for new Forex traders. As well volume pays a great role in selecting breakout trades. A Forex trader should have a gaining volume with the breakout to verify momentum before taking a position. You have to note that a volume spike at the breakout, followed by a fast decrease in volume is a sign that the breakout is weak and susceptible to failure. You have to know that these breakouts have to be avoided at any cost.

According to carry trade a Forex trader sells a certain currency with a low interest rate and then uses those funds to purchase another currency with a higher interest rate. That way you are making money off of the different interest rates. A Forex trading using this trading strategy tried to capture the different between the rates, which could be substantial, depending on the actual amount of leverage used.

Forex news trading is trading in news and speculation of the foreign currencies. As a rule, you place your trades before or after important news that has been released. You have to know that there are no less than seven pieces of data that are released daily from the eight main currencies that are mostly closed followed. And thus for those who decide to trade news, there is high potential. Forex trading signals could come in quite useful as they not just help you time an entry point, however they help you make an exit strategy as well.

As you can see, you have a lot of different options to choose from while determining which trading strategy is the best one for you.

As in any other sphere of our life Forex needs some education.

Of course, you can start forex trading and be quite successful about it. But sooner or later the losses will come. This is when you might think Why didnt I start with a good forex books ?

This does not imply that after reading even the best materials you will start making money, but this info will save you from lots of dangers. And even if you make up your mind to get the assistance of a forex managed account service, still you will be able to make a much wiser decision.

And some general tips today the online technologies give you a really unique chance to choose what you need for the best price on the market. Strange, but most of the people dont use this opportunity. In real life it means that you must use all the tools of today to get the information that you need.

Search Google or other search engines. Visit social networks and have a look on the accounts that are relevant to your topic. Go to the niche forums and participate in the online discussion. All this will help you to build up a true vision of this market. Thus, giving you a real chance to make a wise and nicely balanced decision.

And also sign up to the RSS feed on this blog, because we will everything possible to keep this blog tuned up to the day with new publications about Forex market.

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Backside fibs strategy

BackSide FIBS Strategy

Why Most People Use Fibs In An Inefficient Manner

When I started trading years ago, the first system I was introduced to was a very simple strategy that involved Fibonacci. Unfortunately, the Trading system was so simple that it lost money on a consistent basis! But as I continued to evolve and develop from those humble beginnings, I never did stray very far from my Fibs. Along the way, however, I have discovered an alternative use of Fibonacci levels that is incredibly effective. If you currently use Fibs, there is a strong possibility you are only using them at about a 50% rate of efficiency.

Traditional Fib Execution

When I first began using Fibs on a consistent basis, I used them the way that most people do. You identify a swing HI and a swing LO on a chart if price is moving down (reverse in a bullish market), then you draw the Fib tool from the HI to the LO, and Fibonacci retracement levels are automatically populated on your chart. The chart directly below depicts a very clear swing HI and swing LO.

The second step is to simply draw your Fibs from the Swing LO to the Swing HI.

Once you draw the Fibs from Swing LO to Swing HI, your fib levels automatically populate. Now, Fibonacci trading theory states that when price makes an impulsive move from a Swing LO to a Swing HI, it will typically retrace 23%, 38%, 50%, 62%, or 76% of the move before it breaks the Swing HI and continues the move up. A Fib trader is now looking to enter a long position as price pulls back to one of these Fib levels.

In this example above, simply buying EUR/USD at every Fib level is going to be an ineffective strategy. Most Fib traders will use the Fib levels as guides and then look for additional price action confirmation in order to actually enter a trade. Personally, I like to combine heavy areas of support/resistance with my understanding of order flow in order to identify Fib levels that have a high probability of providing enough support to actually bring substantial demand into the market and push price back to the upside.

Let’s see how these Fib levels from the chart above actually held up.

As you can see price did bounce nicely off the 38%, 50%, and 76% Fib levels. However, price did not slow down at all at the 23% and the 62%. Long positions off those two Fib levels would have surely been stopped out. Now, a trader can definitely develop an effective trading approach that is centered around buying at Fib retracements in a bullish market or selling at Fib retracements in a bearish market, but I believe that this traditional approach to Fibonacci trading is only partially effective. There is a whole lot more to understand!!

Several years ago, I was talking on the phone with another professional trader who had been very successful in the Forex market. In passing, he mentioned that he loved to trade off the backside of Fibonacci levels. As a Fib enthusiast, this caught my attention. I had never considered trading off the backside of the fibs. Immediately, I went to the charts and began looking at historical price action, and sure enough I began to notice that price was consistently bouncing off the backside of previously broken Fib levels. Today, trading retests of the backside of previously broken Fibonacci levels is one of my favorite price action setups I use to enter positions in the market.

The Backside of the Fibs

Let’s continue with the same EUR/USD example we used in the previous chart pics.

Price retraced all the way down to the 76% retracement before it began rising back to the upside. Notice what happened when price rose to the backside of previously broken Fib levels! First, price raced up to the backside of the 62%. Very little resistance was brought into the market and price continued to rise, but notice what happened as it came to the backside of the 50%. Strong resistance resulted in a near 100 pip reversal. Then, when we finally break through the 50% and move up to the backside of the 38%, price finds strong resistance again and reverses nearly 100 pips.

5best forex traders in the world you should know about

5 Best Forex Traders in the World You Should Know About

Whatever field you are in, the goal is not always to be the best. Sometimes, you just need to be the best that you can. By perfecting your trade, there is no reason why you cannot reach the top. The same principle can be applied to forex trading. If you are struggling in this competitive field, you can find inspiration from the stories of the following forex trading gods of all time. You will also get to know who are they and how the world’s best forex trader did it all.

5 – Bruce Kovner

Although Kovner is the least known billionaire in New York, his forex trading strategies are always up-to-date. His decisions are very smart and brave, two of the most important traits for a forex trader. However, as he began to achieve success, he shifted into hedge funds. He founded the Caxton Associates that, right now is within the top 10 most successful hedge funds across the world. With an estimated $14 billion income, this company is indeed one of the best. Kovner himself makes $4.5 billion in net.

Top 4 – Bill Lipschutz

As a full-time foreign exchange trader, Bill Lipschutz co-founded and directed the Portfolio Management in Hathersage Capital Management. He started trading while he was in college. After inheriting $12,000 from his grandmother’s death, he invested it in risk management and forex. Spending hours in the library to study, his portfolio reached $250,000 rapidly. This made him one of the best forex traders.

Top 3 – Andy Krieger

As a currency trader for Bankers Trust, Andy Krieger silently kept his distance from the actual forex arena. Everyone is leaving the US Dollar for other currencies because of the Black Friday crash. As a result, a certain currency would eventually be overvalued. Krieger tried his luck on the New Zealand Dollar called the Kiwi. His techniques were effective. By issuing hefty selling orders bigger than what New Zealand can supply, he succeeded in gaining billions of dollars.

Top 2 – Stanley Druckenmiller

Druckenmiller’s successful double bet on the same currency is the primary reason why he is considered among the best forex traders. He made his first bet after the collapse of the Berlin Wall. On that single day, he made a billion dollar worth of income. Because of his move, the German mark became significant in the forex trading field. His second bet on the same currency also became a smashing hit. He bought German bonds since stocks are showing less improvement over the years.

The Best Trader in the World – George Soros

George Soros is the king of forex trading; there is no doubt about it. In fact, Stanley Druckenmiller and Andy Krieger worked for him eventually. His expert advice and professional decisions made these two excellent traders as well. However, Soros made the most out of his apprentice to help him break the Bank of London and put the British pound into its knees. The most successful trades he made earned him at least $1 billion . That’s just another day for him. Many of the forex traders now look to him as an inspiration to follow. If you too want to taste some victory in forex trading, you should study Soros’ trading strategies.

Building winning trading systems,website,2nd edition

Building Winning Trading Systems, + Website, 2nd Edition

The updated edition of the guide to building trading systems that can keep pace with the market

The stock market is constantly evolving, and coupled with the new global economic landscape, traders need to radically rethink the way they do business at home and abroad. Enter Building Winning Trading Systems, Second Edition . the all-new incarnation of the established text on getting the most out of the trading world. With technology now a pervasive element of every aspect of trading, the issue has become how to create a new system that meets the demands of the altered financial climate, and how to make it work.

Giving voice to the question on every trader and investor’s lips, the book asks, „How can we build a trading system that will be paramount for our increasingly stressed markets?” The answer? Establish mechanical trading systems that remove human emotion from the equation and form the cornerstone of a complete trading plan and with greater agility, characteristics that are more important than ever given the kinetic pace of the markets.

Presents an all-new strategy for trading systems that will show traders how to create systems that will work in the twenty first century

Expert advice from highly respected trading authority, George Pruitt

Includes a new website featuring updated TradeStation code and shows how to use the world’s best investment software platform to develop and utilize trading systems that really work

Once again paving the way for traders who want to adapt to their environment, Building Winning Trading Systems, Second Edition combines expertise in indicator design and system building in one indispensable volume.

Best android forex trading platforms2020

Best Android Forex Trading Platforms 2020

Are you a busy Forex trader on the go? These days, there are many Android Forex apps that can help you analyze and manage your Forex positions no matter where you are! That’s right, whether you’re commuting to work, on your lunch break or simply without the ability to access your broker’s web platform, you can trade there and then on your Android device. There are a number of brokers offering excellent Android apps that will help you to trade just like you’re at your computer, and there are also apps that will help you to stay on top of what’s going on in the markets as well. Here’s the breakdown of the top Android Forex brokers and apps. But before we get into that we highly recommend a very special broker with a very special Android application: Plus500. This broker is the largest broker in the world and focused on mobile applications very early. And thats the result. Take a look for yourself and start trading with the best by clicking this link!

Android Forex Apps For Mobile Trading

There are many Android Forex apps that will allow you to manage your trades on your mobile, but the best among these is still the Metatrader 4 Remote app. MT4 Remote allows you the full functionality of the Metatrader 4 platform on your Android device, including opening positions, managing positions, setting stop and limit orders. monitoring Forex charts and more. This app mirrors the functionality of the computer Metatrader platform, meaning that it’s intuitive and easy to use. More importantly, it links directly into your Metatrader 4 trading account.

In terms of Forex brokers that support Android Forex trading, there’s no better broker than Oanda FXTrade. Oanda is a pioneer in the Forex trading world in offering extremely tight spreads and very favorable trading conditions for both new and advanced Forex traders alike. On their excellently designed Android Forex trading app, you will be able to buy and sell up to 54 different currency pairs, view professional charts with certain basic indicators and utilize stop and limit orders for a great deal of trade management sophistication.

If you’re looking for the very best charting functionality in your Android mobile trading platform, then MobiTradeOne is the answer. You will have to open an account with Forex, or at the very least be running on their 15 day free trial, but it’s certainly well worth the effort in signing up. With this app, you will be able to access a wide range of technical indicators including Pivot Points, Fibonacci, Simple Moving Average (SMA), Exponential Moving Average (EMA), Weighted Moving Average (WMA), Parabolic SAR, Bollinger bands, MACD, Commodity Channel index (CCI), Relative Strength Index (RSI), Momentum and Williams %R.

Android Forex Apps For News And Analysis

So what if you don’t want to open up a trading account with one of the brokers above, but you still want to receive top of the line charting functionality, news updates and up to the minute analysis right to your Android phone?

There are a number of apps that allow you to receive live quotes, live charts and even latest news releases, but the best is Trade Interceptor Forex Mobile. This is a free app that allows you to view all the information that you would normally only be able to get through a broker without signing up for any particular broker. So regardless of which broker you are with, you can get the very best Forex trading information directly to your Android phone.

Finally, if all you’re interested in is news updates and analysis, then you can simply download the Forex News app which covers all the major pairs including the EUR/USD, USD/JPY, GBP/USD and AUD/USD, just to name a few. It features all the latest releases from the major reporting agencies, including Reuters.

All in all, there are a great number of Android Forex apps available for you to use to trade on the go or simply enhance your analysis of the markets, and most of these are free! Why not download a couple of them and see how they can help you trade regardless of where you are at any given time?

Have you Tried Binary Options Trading Yet?

Binary Options trading is one of the newest forms of trading to hit the markets. Binary options allows you to trade currencies, stocks or indices with fixed odds. For more information visit our recommended broker now:

Online trading academy tysons corner

Online trading academy tysons corner

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Online trading academy mumbai tuition rebate program

Online Trading Academy Mumbai Tuition Rebate Program

With Tuition Rebates, your trading education can have an even better price: Free.

In India, Online Trading Academy has created a partnership with Sharekhan, a brokerage firm who is actually willing to underwrite the entire cost of your education as a tuition rebate.

Here’s how it works: After completing any of our courses if you trade through Sharekhan, then you will get a full reimbursement of the course fee through discounted brokerage. Every month 25% of your net brokerage cost will be reimbursed back, till the time the total amount reimbursed equals the value of the course fee paid.

Contact your Education Center for additional details.

Forex trading dad

Rules for the /r/Forex subreddit

We despise spam. No one wants to see your spam, no one is going to waste their time clicking on your links. The spam will be deleted and you will be banned.

2: No blind news articles

ALL traders worth their salt who use news have some sort of news feed. Whether paid or free, they have a text/twitter feed/RSS/carrier pigeon delivery service which brings them timely news. Inherently, this should not be a clearing grounds for news articles.

Posting a news article with your analysis or your question. Dont just slap an article down about the PBOC. We can get that anywhere. Have a question? Perfectly acceptable to pony up and ask what am I seeing here? What does this mean? Are you well read and want to share on the Greek debacle? Awesome. Post an article, or better: link to multiple articles with your analysis in it. This is the substance that we find helpful.

Simply posting a news article. Whether it is no comment, or weak comments like check this out or RBNZ at it again!!1!, these posts are useless and will be excised without remorse or delay. You guys are bright and we enjoy learning from you.

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Using Bollinger Bandreg; Bands To Gauge Trends

Bollinger BandsВ® are one of the most popular technical indicators for traders in any financial market, whether investors are trading stocks, bonds or foreign exchange (FX). Many traders use Bollinger BandsВ® to determine overbought and oversold levels, selling when price touches the upper Bollinger BandВ® and buying when it hits the lower Bollinger BandВ®. In range-bound markets, this technique works well, as prices travel between the two bands like balls bouncing off the walls of a racquetball court. However, Bollinger BandsВ® don’t always give accurate buy and sell signals. This is where the more specific Bollinger BandВ® „bands” come in. Let’s take a look.

Tutorial . Analyzing Chart Patterns

At the core, Bollinger BandsВ® measure deviation. This is the reason why they can be very helpful in diagnosing trend. By generating two sets of Bollinger BandsВ® – one set using the parameter of „1 standard deviation ” and the other using the typical setting of „2 standard deviation” – we can look at price in a whole new way.

One of the other great advantages of Bollinger BandsВ® is that they adapt dynamically to price expanding and contracting as volatility increases and decreases. Therefore, the bands naturally widen and narrow in sync with price action, creating a very accurate trending envelope .

Eod forex trading strategies best binary options brokers2020

Eod forex trading strategies. Best Binary Options Brokers 2020 energiebesparende. nl

Home → Geen categorie → Eod forex trading strategies. Best Binary Options Brokers 2020 energiebesparende. nl

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Op 29 juni 2020 / Geen categorie / Reacties staat uit voor Eod forex trading strategies. Best Binary Options Brokers 2020 energiebesparende. nl

Different option strategies explained

Different Option Strategies Explained

TK All-Star posted on 02/23/12 at 03:13 PM

TradeKing All-Star Blogger Mark Wolfinger explains different option strategies with a client on the Trader Network!

I’ve been in and out of options for the last 3 years. I’m surprised I’m still here to be honest with you. I’m trying to see how those of you trade your options. Lately I’ve been in and out of one of the big ones on the market. Before the market opens I look at the pre market direction. I read some of the news and then let the market open. I watch the options fluctuate and then I decide what side of the market I want to be on for that period of time. The problem is I’ve been reluctant to pull the trigger and later find out that if I did I would of been fine as long as I got out at the retracement.

How do you get the nerves to pull the trigger?

You DO NOT want to pull the trigger. At least, not this trigger. There are better weapons at your disposal.

Options are simply not designed for shorter-term trades. Just look at the wide bid/ask spreads. We know that you may get a better fill than selling the bid and paying the ask price, but every time you trade, there is slippage. [Slippage is the difference between the expected price of a trade (bid/ask midpoint), and the execution price.] And that option slippage is much larger than stock trading slippage. For short-term traders, those differences can truly affect the profit/loss picture.

If that’s not enough, you are looking at the wrong data. Seeing pre-market direction, reading news, and watching options fluctuate tell you NOTHING about what you really want to know. You plan to trade options, not the underlying stocks!

Do you understand which strikes are best to buy? Do you recognize the futility of trading options that are far out of the money? Do you pay attention to implied volatility levels so that you can get a handle on whether you are paying a cheap or dear price for those options you plan to buy? Have you never noticed that calls often do not move as far as you expected them to move when the stock rallies?

Do you know that buying options is a very difficult game and that it takes a great deal of skill to come out ahead?

Did you ever consider alternative strategies, such as selling OTM put spreads when bullish? Or call spreads when bearish? I urge you to look at making this play – if you are willing to accept limited profits and if you plan to hold the trade for more than a few days. Your profit/loss ratio could be significantly higher compared with buying calls, and if you choose your strikes and position size with care (collecting sufficient cash when opening the trade, and not taking more risk than you are willing and able to take), you could do far better than you are doing now.

Your own experience over the past few years should tell you that something is wrong. It is not that you lack the courage to pull the trigger; it is that you are looking at the wrong weapon (trading strategy).

Mark D Wolfinger

Options involve risk and are not suitable for all investors. Click here to review the Characteristics and Risks of Standardized Options brochure before you begin trading options. Options investors may lose the entire amount of their investment in a relatively short period of time. Online trading has inherent risk due to system response and access times that may vary due to market conditions, system performance, and other factors. An investor should understand these and additional risks before trading. Multiple leg options strategies involve additional risks and multiple commissions, and may result in complex tax treatments. Please consult a tax professional prior to implementing these strategies. While Delta represents the consensus of the marketplace as to the theoretical price movement of the option relative to the underlying security, and Gamma represents the consensus of the marketplace as to the theoretical rate of change of Delta relative to the underlying security, there is no guarantee that these forecasts will be correct.

At the time of publication and in the preceding month, TradeKing and the third-party content provider did not have ownership greater than 1% in any stocks mentioned here and do not have any other actual, material conflict of interest known at the time of publication. Neither TradeKing nor the third-party content provider, received compensation from a public offering or from investment banking services related to any companies mentioned here within the past 12 months, or expects to receive any in the next 3 months. Neither TradeKing nor the third party content provider engaged in market making in the securities mentioned here. TradeKing selects and defines as All-Stars certain independent market commentators who are recognized industry personalities and experienced traders. TradeKing All-Stars provide timely market commentary via the TradeKing All-Star blog at community. tradeking/members/tk-all-star/blogs. Each All-Star commentator’s bio, related qualifications and disclosure as to their relationship with TradeKing can be found on the All-Star blog roster, available at community. tradeking/members/tk-all-star/details. The selection of All-Stars commentators is solely based on the quality and style of the content provided. TradeKing does not measure, endorse, or monitor the performance or correctness of any statement or recommendation made by independent All-Stars commentators on TradeKing. Supporting documentation for any claims made in this post will be supplied upon request by the author of the post, who is solely responsible for the views expressed here. Send a private message to All-Stars using the link below the profile image.

Mark Wolfinger maintains a business relationship with TradeKing.

All investments involve risk, losses may exceed the principal invested, and the past performance of a security, industry, sector, market, or financial product does not guarantee future results or returns. TradeKing provides self-directed investors with discount brokerage services, and does not make recommendations or offer investment, financial, legal or tax advice. You alone are responsible for evaluating the merits and risks associated with the use of TradeKing’s systems, services or products.

2020 TradeKing Group, Inc. Securities offered through TradeKing, LLC. All rights reserved. Member FINRA and SIPC.

How to open aforex trading account in south africa

How to open a forex trading account in South Africa

There are a few steps to opening a forex trading account in South Africa.

The first and most important decision to make is who to choose as a broker. You see this industry is rife with scams and people collaborating and out there just to get your money. Theres s a few brokers that I recommend and trade with, you can find them here .

After youve done your research and chosen a broker, its time to open your account. First start with a demo account and make sure you understand how to place orders (market orders and limit or stop orders), and know how to place a stop loss and take profit levels.

Be aware that a demo account is not the same as a live account from a technical perspective, brokers sometimes use different servers than the ones used for live trading. The emotional impact of trading with a live account is also much different for trading on a demo account, more on this in later posts.

ALL registered and legal brokers will want some form of FICA from you. Mostly that means sending them a copy of your ID and proof of address. The admin process takes a few hours to a few days, the compliance department works to see that you are who you say you are and when they give you the all clear, theyll send you the login details for y our platform (the better ones use MT4, one of the most popular platforms around. Now its time to fund your account.

Its more convenient to have a broker thats resident in South Africa, you can make a local EFT into their bank account and receive EFTs when you withdraw. After your EFT clears, and the broker receives your funds, they fund your platform with the amount and youre now ready to trade.

Good luck and happy trading. I hope that you have an effective strategy to give you an edge in the market, proper money management techniques so that you win big and lose small and the mental skills to put in trades in a clear and carefree state of mind.

If you need some help, please subscribe to the mailing list that you see on the site, or contact me (look to the top left to find my contact details.)

5compelling reasons to use tick charts

5 Compelling Reasons to Use Tick Charts

Updated: Thursday 12 November 2020

Tick Charts are one of my secret weapons and heres why.

Tick Charts are not very well known and can be confusing. From time to time I get questions about tick charts and yesterdays email from Ken was typical:

Ive been scouring the Internet for information on tick charts and their ins and outs but have found nothing useful. Can you please point me to a good source of information with a decent explanation? Ken

Well I consider myself a little bit of an expert on tick charts, so here goes.

What is a Tick Chart?

Conventional (i. e. time-based) charts draw a new bar after a set period of time . for example after every 5 minutes. Tick charts draw a new bar after a set number of trades . for example after every 1,000 trades.

Dont get confused with the NYSE TICK Index (or $TICK in many charting programs). The NYSE TICK Index is a totally different thing. It measures the number of stock issues trading on an up tick versus a down tick. A tick, by contrast, is just a trade and 1 tick = 1 trade.

Best day trading simulators

Best Day Trading Simulators

Image Credit: Wikimedia

Day trading requires precision and focus, which can only be developed with practice.

With a day trading simulator, you can hone your day trading skills while preserving your capital. Thereafter, you can switch over to live trading with real money. A day trading simulator is especially useful for beginners.

For experienced day traders, finding the best day trading simulator is also crucial for testing out new day trading strategies.

While there are many ways to simulate day trading, it is not easy to obtain the realistic experience of real-time day trading. The following are among the best day trading simulators available. (Not listed in any order.)

Proprietary Broker Trading Platforms

Multi-broker Trading Platforms

Dedicated Day Trading Simulators

Best Day Trading Simulators Proprietary Broker Trading Platforms

Many brokers provide a simulation feature in their trading platforms. This is arguably the best day trading simulator option as you get a chance to test drive the platform that you will use for live trading.

thinkorswim by TD Ameritrade is a broker specialising in options trading for active traders. paperMoney is the paper trading option for its current or prospective clients. It means that you get to use paperMoney for free .

Both live trading and paper trading uses the same platform, which is a downloadable software. There is also a browser-based version which has fewer features.

It has a powerful charting package that allows you to write your own indicators using their thinkscript. It is an intuitive scripting language. Even without any programming knowledge, you can write a couple of basic indicators with ease.

There is an analytics module for options trading in the platform, which makes it the best day trading simulator for day trading options .

Tradestation Day Trading Simulator

TradeStation is a direct access broker with a full-featured trading platform. Their platform is the winner of multiple accolades from Barrons and Technical Analysis of Stocks and Commodities.

The TradeStation platform has more features than what a regular trader needs. Other than simulated trading function, it has a market scanner, strategy optimization capabilities, options analytics modules, and advanced charting. Due to its superb strategy testing, systems traders favor it.

In fact, the platform is so well-received that they offer it as a separate purchase for their non-brokerage clients. However, the price tag is rather hefty at $249.95 per month for simulated trading only.

You can sign up as a their brokerage client and fund your account with $5,000 to get the same platform for free.

Interactive Brokers Simulator

Interactive Brokers (IB) offers the Trader Workstation (TWS) to its clients for free. Its PaperTrader interface allows paper trading with the complete functions of TWS. PaperTrader grants you risk-free and seamless usage of TWS which include chart trading, market depth, price risk analytics and more.

If you are using IB, you must check out ButtonTrader. Do not let its dated website distract you from the raving reviews from its users. Basically, ButtonTrader is a front-end interface adapted for short-term trading.

ButtonTrader offers simulation trading in recorded or real-time mode. In recorded mode, you can simulate day trading offline using data files from ButtonTraders website. In real-time mode, you can paper trade real-time with a connection to IB.

ButtonTraders simulated trading function is free for the first six months, which is sufficient for testing out your day trading strategy.

Best Day Trading Simulators Multi-Broker Trading Platforms

If you do not want to be locked in one broker, then a multi-broker trading platform is your best day trading simulator option. These powerful trading platforms allow you to simulate day trading with the option of using multiple brokers.

Ninjatrader Day Trading Simulator

With Ninjatrader, you can simulate day trades as long as you are using one of its partner brokers. This means that you can hone your skills with one platform, but maintain the option to trade with a number of reputable brokers.

Ninjatraders features are comprehensive. It has advanced charting, custom indicators, and chart trading. It records your simulated trades and provides performance review. A Monte Carlo analysis tool is included.

Furthermore, it has a market replay option. It is useful for aspiring day traders who have day jobs. It replays the charts so that you can hone your day trading skills outside trading hours.

The best part is that it is completely free for simulation trading. However, you will need to subscribe to a feed or keep a brokerage account funded to access real-time market data.

X_TRADER is the flagship product of Trading Technologies, a leader in electronic derivatives trading solutions. Its simulator has an orders matching engine tweaked to provide the most realistic prices derived from real-time feeds.

Its charting module, X_STUDY, is user-friendly and sufficient for day traders. However, X_STUDY lacks custom indicators, and pales in comparison to the charting provided by TradeStation and Ninjatrader.

Many futures brokers offer X_TRADER. You can request for a two-week demo from most of them. Beyond that, you will need to fund an active trading account. AMP Futures. Variance Futures and Global Futures are some brokers that offer X_TRADER demo.

MetaTrader 4 Simulator Account Best Day Trading Simulator for Forex Traders

With the sheer number of forex brokers out there, we must mention MetaTrader4 (MT4). Although MT4 is free, it has great charting and strategy development features. It is no wonder that MT4 is one of the most popular trading software used by spot forex traders.

Despite its popularity, MT4 does not have a native simulation function. Fortunately, you can still use it as a day trading simulator with a demo/practice account given by your forex broker.

Simply search for MT4 demo and be overwhelmed by the number of brokers offering you a MT4 demo.

Best Day Trading Simulators Dedicated Day Trading Simulators

The options above are excellent. But they come with some hassles, like keeping your account funded, purchasing a market data plan, or haggling with your broker to extend your demo account.

If you want to avoid these issues, your best day trading simulator could be a well-designed and professional day trading simulator.

Forex Tester (Forex Smart Tools)

As a practice and review tool, its suite of features is excellent.

Adjust playback speed to practise more with less time

Similar interface with MT4

16 currency pairs with historical data from 2001 (You can even customise the data to include your brokers spread.)

Supports multiple time-frame trading strategies

Saves your testing sessions with performance metrics like win rate etc

At $175, it is a worthwhile investment for traders who are still trying to figure out their trading edge.

To test drive, you can download its trial version with limited features.

I am an affiliate of Forex Tester.

TradingSim Day Trading Simulator

TradingSim is a web-based day trading simulator for US stocks . It has over 9 months of historical data and allows you to fast forward the market movements at three speeds. You get to play with common technical indicators and order types.

There is a 5-day trial available. It is not a long trial, so make sure you are free to make the most out of it. After the trial, it costs $199.00 for lifetime access.

The lack of simulation with real-time prices is a drawback. However, at $199.00, it is an affordable way to kick start your learning journey as a day trader.

RapidSP Trading Simulator

RapidSP Trading Simulator is a trading simulation software for US markets including futures and ETFs. You will need to download the data from RapidSPs website and load it into the software.

The trading time frame is between 1 minute and 4 hours. According to this list. it has more technical indicators than TradingSim. There is a demo movie of the simulator available.

You access its full features for 15 days for free . Thereafter, it costs $49.99 to purchase the simulator.

Ensign Software Simulator

Ensign is a charting software that has a simulation function. It accepts live data from many sources including major brokers. It trumps the other options by doing what it does best: charting. You will be impressed by its range of technical studies ranging from Gartley patterns to Moon Phases.

While Ensign is primarily a charting software and not a dedicated day trading simulator, its simulation function is decent. It has a playback function for you to practice with past sessions. The simulation order types include advance options like stop and reverse, auto scalp, and auto stop.

There is a 7-day trial. It costs $49.95 per month to subscribe to the Ensign software which comes with live forex data. For other products, you may need to pay to get real-time data.

Practise with the Best Day Trading Simulator

It is challenging to find the best day trading simulator. Consider your needs like the products you trade, how you trade, when you trade, and how much you are willing to spend on a day trading simulator. Then, choose the best day trading simulator for you. Bear in mind that the best day trading simulator is the one that best suits your needs, and not necessarily the one with a five-star review.

Finally, commit yourself to consistent practice. The key to successful day trading simulation is to treat it seriously. Treat simulation trades as if they are real trades.

Practice does not make perfect. Perfect practice makes perfect.

Trade well, be it virtual or real.

Having a tough search for the platform with your favourite indicator? It doesnt matter anymore. Learn to trade effectively without indicators.

Image credits: All images belong to the respective brands and products. (unless otherwise stated)

Forex profit heaper review

Forex Profit Heaper Review

Product Name: Forex Profit Heaper

Product Author: ForexMt4Systems Team

This Set-Up Will Do All The Market Reading, Understanding So As Will Take Final Decission For You. Putting You On the Winners Side! Advanced Six Indicator Combination Work Along And Provide 100% Accurate Entry And Exit Signals. Most Important They Does Not Repaint!

Forex Profit Heaper is a forex trading system that has been designed to work on any types of trades from 5 minutes to daily charts, so as it will suit all trading styles. It isnt automated so you have control over what trades are finally placed, but you are taught to spot trends easily and quickly.

Basics of action planning(as part of strategic planning)

Sections of This Topic Include

Also See the Library’s Blogs Related to Evaluating the Strategic Plan

In addition to the information on this current page, see the following blogs which have posts related to Evaluating the Strategic Plan. Scan down the blog’s page to see various posts. Also see the section Recent Blog Posts in the sidebar of the blog or click on next near the bottom of a post in the blog.

(At this point in the strategic planning process, planners have usually already completed all or most of the strategic analysis, including the environmental scan, SWOT analysis, identifying strategic issues and goals. They’ve probably already developed/updated the mission statement (and a vision statement and values statement, if they choose to add these).

Action planning typically includes deciding who is going to do what and by when and in what order for the organization to reach its strategic goals. The design and implementation of the action planning depend on the nature and needs of the organization.

One of Biggest Problems in Strategic Planning: Plan Isn’t Implemented

At this point in planning, planners are sometimes fatigued from completing the earlier phases of planning. Action planning may seem detailed and tedious compared to earlier phases of strategic planning which often seem creative in nature. Therefore, action planning is too often ignored, leaving the results of earlier stages of planning much as “castles in the air” — useless philosophical statements with no grounding in the day-to-day realities of the organization. Meaningful stages of earlier planning become utterly useless.

The organization’s commitment to strategic planning is commensurate to the extent that a) the organization completes action plans to reach each strategic goal and b) includes numerous methods for verifying and evaluating the actual extent of implementation of the action plan.

Developing Action Plans (or Work Plans)

1. Actions plans specify the actions needed to address each of the top organizational issues and to reach each of the associated goals, who will complete each action and according to what timeline.

2. Develop an overall, top-level action plan that depicts how each strategic goal will be reached.

3. Develop an action plan for each major function in the organization, e. g. marketing, development, finance, personnel, and for each program/service, etc. These plans, in total, should depict how the overall action plan will be implemented. In each action plan, specify the relationship of the action plan to the organization’s overall, top-level action plan.

4. Ensure each manager (and, ideally each employee) has an action plan that contributes to the overall. These plans, in total, should depict how the action plans of the major functions will be implemented. Again, specify the relationship of these action plan to the organization’s overall, top-level action plan.

5. The format of the action plan depends on the nature and needs of the organization. The plan for the organization, each major function, each manager and each employee, might specify:

a) The goal(s) that are to be accomplished

b) How each goal contributes to the organization’s overall strategic goals

c) What specific results (or objectives) much be accomplished that, in total, reach the goal of the organization

d) How those results will be achieved

e) When the results will be achieved (or timelines for each objective)

Developing Objectives and Timelines

1. Objectives are specific, measurable results produced while implementing strategies.

2. While identifying objectives, keep asking “Are you sure you can do this?”

3. Integrate the current year’s objectives as performance criteria in each “implementer’s” job description and performance review.

4. Remember that objectives and their timelines are only guidelines, not rules set in stone. They can be deviated from, but deviations should be understood and explained.

5. Consider the following example format for action your plan.

Lesson2how much money can you make trading forex

Lesson 2: How Much Money Can You Make Trading Forex?

By David Waring on Apr 22, 2020 10:44:08 GMT

If your goal is to make money consistently in the market, then you have to be realistic and define what that means. The return expectations of most traders that I meet are way out of line with reality. Many think that profitable traders can consistently generate returns of 50 to 100% a year or more, which is just not the case. The best traders and investors in the world (including names like George Soros, Stevie Cohen, and Warren Buffett), have long term track records averaging somewhere around 30% a year.

It is true that these people manage billions of dollars, and the larger the money under management the harder it is to generate outsized profits. So to help again drive home the point, look at the growth of $100,000 with several different return assumptions.

As you can see from this sheet, if you started with $100,000 and were able to generate 100% yearly returns over 30 years, then you would be worth over $100 Billion dollars. The richest person in the world currently is Carlos Slim whose worth is estimated at $73 Billion. This means that no one has ever generated 100% a year consistently on 100K or more in the history of trading, so you won’t either.

Long story short if you can generate 20 to 30% a year consistently then you can do very, very well and count yourself among the best traders in the world.

Trading the emini


We have been trading the Emini long before we started View My Trades on February 1, 2020. There are 3 different Day Trading Strategies listed below that we track on this page. All 3 strategies are updated every day on our Performance Page and are recorded accurately “to the tick” while trading futures based on what we called out for that particular day in the live trade room. Our Morning Email Alert Service is totally separate from the E-mini trading room, but we track the results on the performance pages as well. Please note the following information;

All of the trade set-ups in the charts below were called out in advance and in real time.

The entries are never called out after the fact or with any delayed data and no funny business.

You will see our E mini Live Streaming Charts all in real time tick by tick, second by second.

We provide exact entries, stops and profit target areas and even tick by tick trailing stops.

Trades outside of trade room hours are NOT included in the results, again no funny business.

We do NOT cherry pick only our best winners and include all trades and yes that means losers.

Every trade set-up we call out has a significantly favorable risk to reward ratio.

We always manage our E-mini trading risk tightly and never subject members to large losses.


Trading Emini futures is hard enough without all the garbage, manipulation and lies out there. We mention this because the majority of Live Futures Trading Rooms post completely bogus numbers when trading the ES (the symbol for the Emini SP 500 futures) and only a select few futures rooms accurately post what happened with their true results on any given day. We are futures traders that are part of the latter group enjoying profitable Emini futures trading days over and over again. In addition to our results being recorded in complete detail every day on our website, they are thoroughly discussed in our Daily Re-Cap Videos posted on the home page every day win or lose. We also have a YouTube channel called ViewMyTrades (yes it is all one word) and you can subscribe and follow us there. We post results everyday on YouTube win or lose. We track all of our day trading results in two ways. First, we total everything by month and year for a quick snapshot of the long-term numbers. Second, we track a detailed trading log showing exactly what happened every single day in our E-mini live room since we opened our doors. The 3 trading strategies we track are… ;

1. E-mini Live Trade Room Specific Trade Set-ups

2. E-mini Live Trade Room Bounce Points

3. E-mini Morning Email Alert Service

· All of the trade set-ups in the charts below were called out in advance and in real time.

Trading Emini futures is hard enough without all the garbage, manipulation and lies out there. We mention this because the majority of Live Futures Trading Rooms post completely bogus numbers when trading the ES (the symbol for the Emini SP 500 futures) and only a select few futures rooms accurately post what happened with their true results on any given day. We run a futures trading room that is part of the latter group which provides our members with profitable Emini futures trading days over and over again. In addition to our results being recorded in complete detail every day on our website, they are thoroughly discussed in our Daily Re-Cap Videos posted on the home page every day whether our analysis was on or off. We also have a YouTube channel called ViewMyTrades (yes it is all one word) and you can subscribe and follow us there. We post trading room results everyday on YouTube win or lose. We track all of our day trading calls in two ways. First, we total everything by month and year for a quick snapshot of the long-term numbers. Second, we track a detailed trading log showing exactly what happened every single day in our E-mini live room since we opened our doors. The 3 trading strategies we track are…

Trading Emini futures is hard enough without all the garbage, manipulation and lies out there. We mention this because the majority of Live Futures Trading Rooms post completely bogus numbers when trading the ES (the symbol for the Emini SP 500 futures) and only a select few futures rooms accurately post what happened with their true results on any given day. We run a futures trading room that is part of the latter group which provides our members with profitable Emini futures trading days over and over again. In addition to our results being recorded in complete detail every day on our website, they are thoroughly discussed in our Daily Re-Cap Videos posted on the home page every day whether our analysis was on or off. We also have a YouTube channel called ViewMyTrades (yes it is all one word) and you can subscribe and follow us there. We post trading room results everyday on YouTube win or lose. We track all of our day trading calls in two ways. First, we total everything by month and year for a quick snapshot of the long-term numbers. Second, we track a detailed trading log showing exactly what happened every single day in our E-mini live room since we opened our doors. The 3 trading strategies we track are…

Trading Emini futures is hard enough without all the garbage, manipulation and lies out there. We mention this because the majority of Live Futures Trading Rooms post completely bogus numbers when trading the ES (the symbol for the Emini SP 500 futures) and only a select few futures rooms accurately post what happened with their true results on any given day. We run a futures trading room that is part of the latter group which provides our members with profitable Emini futures trading days over and over again. In addition to our results being recorded in complete detail every day on our website, they are thoroughly discussed in our Daily Re-Cap Videos posted on the home page every day whether our analysis was on or off. We also have a YouTube channel called ViewMyTrades (yes it is all one word) and you can subscribe and follow us there. We post trading room results everyday on YouTube win or lose. We track all of our day trading calls in two ways. First, we total everything by month and year for a quick snapshot of the long-term numbers. Second, we track a detailed trading log showing exactly what happened every single day in our E-mini live room since we opened our doors. The 3 trading strategies we track are…

Best trading strategy nifty futures

Best trading strategy nifty futures

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404 Errors After Clicking WordPress Links

When working with WordPress, 404 Page Not Found errors can often occur when a new theme has been activated or when the rewrite rules in the. htaccess file have been altered.

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How to run aforex business from home

Things You’ll Need

Sign up for a free practice account at a Forex website (see Resources below). Most of them have this option so that you can learn how to begin. Some of these sites also have online courses and information about Forex workshops in your area. If you’re already an active trader, then open an account and start trading.

Begin trading when you feel ready. Then start with small amounts until you are confident enough to take on bigger trades. You can open or close your account at any time you want, and you don’t have to buy any currency to trade it.

Download a program called Forex Killer. After you’ve set it up, it can automatically do trades for you while you’re away from your computer or sleeping.

Take your time and let your business grow. Within time, it is quite possible that this can become your full-time career, and you can be a professional and well-qualified trader.

Employee development

The vital importance of employee development

If you spend the same amount of time and energy developing people as you do on budgeting, strategic planning and financial monitoring, the payoff will come in sustainable competitive advantage.

Employee development as an important business tool

Employee development can help your organization:

increase employee morale, engagement, productivity and retention

preserve organizational memory/knowledge/domain expertise

establish and maintain a competitive advantage

Employees now view their relationship with their employer as a partnership. They expect the organization to commit to developing and enriching their skills and experiences — making them more employable.

The return on this investment? Loyalty.

Buy sell forex secret indicator

Buy Sell Forex Secret indicator

Buy Sell Forex Secret indicator is profitable indicator that are not repainted. But it should be used only during a strong trend and do not use on flat. Therefore, to trade with the help of Buy Sell Forex Secret indicator recommended in the European and US session . And the presence of a strong trend us will report informer, which is equipped with a Buy Sell Forex Secret indicator.

Buy Sell Forex Secret is a novelty in 2020 by Karl Dittmann, who is well known to many traders.

Characteristics of Buy Sell Forex Secret indicator

Currency pairs: All major pairs, recommended all JPY pairs (example USDJPY, AUDJPY, GBPJPY etc.)

Trading Time: European and US session

Timeframe: Any, recommended M30

Recommended broker: Alpari

Rules of trade Buy Sell Forex Secret indicator is very simple. When you see blue arrow open Buy position at the same time informer should show the presence of a strong trend (parameter Trend Power = 70% or greater).

When you see Pink arrow open Sell position . at the same time informer should show the presence of a strong trend (parameter Trend Power = 70% or greater).

Exit at occurrence signal of the opposite or on the Take Profit. You can also use a trailing stop.

For more information about the rules on Buy Sell Forex Secret indicator in trading you can read in the manual that you can download at the bottom of this article.

In the archives Buy_Sell_Forex_Secret. rar:

Buy Sell Forex Secret. tpl

Buy Sell Forex Secret User Guide. pdf

Free Download Buy Sell Forex Secret

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How options are traded

How Options are Traded

Many day traders who trade futures. also trade options, either on the same markets or on different markets. Options are similar to futures, in that they are often based upon the same underlying instruments, and have similar contract specifications, but options are traded quite differently. Options are available on futures markets, on stock indexes, and on individual stocks, and can be traded on their own using various strategies, or they can be combined with futures contracts or stocks and used as a form of trade insurance.

Continue Reading Below

Options markets trade options contracts, with the smallest trading unit being one contract. Options contracts specify the trading parameters of the market, such as the type of option, the expiration or exercise date, the tick size, and the tick value. For example, the contract specifications for the ZG (Gold 100 Troy Ounce) options market are as follows:

Symbol (IB / Sierra Chart format): ZG (OZG / OZP)

Expiration date (as of February 2007): March 27 2007 (April 2007 contract)

Multiplier / Contract value: $100

Tick size / Minimum price change: 0.1

Tick value / Minimum price value: $10

Strike or exercise price intervals: $5, $10, and $25

Exercise style: US

Delivery: Futures contract

Note that options contracts have three more entries than futures contracts because of the three additional parameters that are needed to trade options, which are the strike price, the exercise style, and the delivery method.

The contract specifications are specified for one contract, so the tick value shown above is the tick value per contract.

Continue Reading Below

If a trade is made with more than one contract, then the tick value is increased accordingly. For example, a trade made on the ZG options market with three contracts would have an equivalent tick value of 3 X $10 = $30, which would mean that for every 0.1 change in price, the trades profit or loss would change by $30.

Options are available as either a Call or a Put, depending upon whether they give the right to buy, or the right to sell. Call options give the holder the right to buy the underlying commodity, and Put options give the right to sell the underlying commodity. The buying or selling right only takes effect when the option is exercised, which can happen on the expiration date (European options ), or at any time up until the expiration date (US options ).

Like futures markets, options markets can be traded in both directions (up or down). If a trader thinks that the market will go up, they will buy a Call option, and if they think that the market will go down, they will buy a Put option. There are also options strategies that involve buying both a Call and a Put, and in this case the trader does not care which direction the market moves.

With options markets, as with futures markets, long and short refer to the buying and selling of one or more contracts, but unlike futures markets, they do not refer to the direction of the trade. For example, if a futures trade is entered by buying a contract, the trade is a long trade, and the trader wants the price to go up, but with options, a trade can be entered by buying a Put contract, and is still a long trade, even though the trader wants the price to go down. The following chart may help explain this further:

Trade type: Long

Entry type: Call

Trade type: Long

The important point is that an options trade that is entered by buying either a Call or a Put, is a long trade, regardless of which direction the trader wants the price to move (up for a Call, and down for a Put).

Limited Risk or Limitless Risk

Basic options trades can be either long or short, and can have two different risk to reward ratios. The risk to reward ratios for long and short options trades are as follows:

Entry type: Buy a Call or a Put

Profit potential: Unlimited

Risk potential: Limited to the options premium

Entry type: Sell a Call or a Put

Profit potential: Limited to the options premium

Risk potential: Unlimited

As shown above, a long options trade has unlimited profit potential, and limited risk, but a short options trade has limited profit potential and unlimited risk. However, this is not a complete risk analysis, and in reality short options trades have no more risk than individual stock trades (and actually have less risk than buy and hold stock trades).

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Stock broker courses in uk futures trading low initial deposit online trading academy feedback

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How to trade volatility-chuck norris style!

How To Trade Volatility Chuck Norris Style!

When trading options, one of the hardest concepts for beginner traders to learn is volatility, and specifically HOW TO TRADE VOLATILITY . After receiving numerous emails from people regarding this topic, I wanted to take an in depth look at option volatility . I will explain what option volatility is and why it’s important. I’ll also discuss the difference between historical volatility and implied volatility and how you can use this in your trading, including examples. I’ll then look at some of the main options trading strategies and how rising and falling volatility will affect them. This discussion will give you a detailed understanding of how you can use volatility in your trading.


Option volatility is a key concept for option traders and even if you are a beginner, you should try to have at least a basic understanding. Option volatility is reflected by the Greek symbol Vega which is defined as the amount that the price of an option changes compared to a 1% change in volatility. In other words, an options Vega is a measure of the impact of changes in the underlying volatility on the option price. All else being equal (no movement in share price, interest rates and no passage of time), option prices will increase if there is an increase in volatility and decrease if there is a decrease in volatility. Therefore, it stands to reason that buyers of options (those that are long either calls or puts), will benefit from increased volatility and sellers will benefit from decreased volatility. The same can be said for spreads, debit spreads (trades where you pay to place the trade) will benefit from increased volatility while credit spreads (you receive money after placing the trade) will benefit from decreased volatility.

Here is a theoretical example to demonstrate the idea. Lets look at a stock priced at 50. Consider a 6-month call option with a strike price of 50:

If the implied volatility is 90, the option price is $12.50

If the implied volatility is 50, the option price is $7.25

If the implied volatility is 30, the option price is $4.50

This shows you that, the higher the implied volatility, the higher the option price. Below you can see three screen shots reflecting a simple at-the-money long call with 3 different levels of volatility.

The first picture shows the call as it is now, with no change in volatility. You can see that the current breakeven with 67 days to expiry is 117.74 (current SPY price) and if the stock rose today to 120, you would have $120.63 in profit.

The second picture shows the call same call but with a 50% increase in volatility (this is an extreme example to demonstrate my point). You can see that the current breakeven with 67 days to expiry is now 95.34 and if the stock rose today to 120, you would have $1,125.22 in profit.

The third picture shows the call same call but with a 20% decrease in volatility. You can see that the current breakeven with 67 days to expiry is now 123.86 and if the stock rose today to 120, you would have a loss of $279.99.


One of the main reasons for needing to understand option volatility, is that it will allow you to evaluate whether options are cheap or expensive by comparing Implied Volatility (IV) to Historical Volatility (HV).

Below is an example of the historical volatility and implied volatility for AAPL. This data you can get for free very easily from ivolatility. You can see that at the time, AAPL’s Historical Volatility was between 25-30% for the last 10-30 days and the current level of Implied Volatility is around 35%. This shows you that traders were expecting big moves in AAPL going into August 2020. You can also see that the current levels of IV, are much closer to the 52 week high than the 52 week low. This indicates that this was potentially a good time to look at strategies that benefit from a fall in IV.

Here we are looking at this same information shown graphically. You can see there was a huge spike in mid-October 2020. This coincided with a 6% drop in AAPL stock price. Drops like this cause investors to become fearful and this heightened level of fear is a great chance for options traders to pick up extra premium via net selling strategies such as credit spreads. Or, if you were a holder of AAPL stock, you could use the volatility spike as a good time to sell some covered calls and pick up more income than you usually would for this strategy. Generally when you see IV spikes like this, they are short lived, but be aware that things can and do get worse, such as in 2008, so don’t just assume that volatility will return to normal levels within a few days or weeks.

Every option strategy has an associated Greek value known as Vega, or position Vega. Therefore, as implied volatility levels change, there will be an impact on the strategy performance. Positive Vega strategies (like long puts and calls, backspreads and long strangles/straddles) do best when implied volatility levels rise . Negative Vega strategies (like short puts and calls, ratio spreads and short strangles/ straddles) do best when implied volatility levels fall. Clearly, knowing where implied volatility levels are and where they are likely to go after you’ve placed a trade can make all the difference in the outcome of strategy.


We know Historical Volatility is calculated by measuring the stocks past price movements. It is a known figure as it is based on past data. I want go into the details of how to calculate HV, as it is very easy to do in excel. The data is readily available for you in any case, so you generally will not need to calculate it yourself. The main point you need to know here is that, in general stocks that have had large price swings in the past will have high levels of Historical Volatility. As options traders, we are more interested in how volatile a stock is likely to be during the duration of our trade. Historical Volatility will give some guide to how volatile a stock is, but that is no way to predict future volatility. The best we can do is estimate it and this is where Implied Vol comes in.

Implied Volatility is an estimate, made by professional traders and market makers of the future volatility of a stock. It is a key input in options pricing models.

The Black Scholes model is the most popular pricing model, and while I wont go into the calculation in detail here, it is based on certain inputs, of which Vega is the most subjective (as future volatility cannot be known) and therefore, gives us the greatest chance to exploit our view of Vega compared to other traders.

Implied Volatility takes into account any events that are known to be occurring during the lifetime of the option that may have a significant impact on the price of the underlying stock. This could include and earnings announcement or the release of drug trial results for a pharmaceutical company. The current state of the general market is also incorporated in Implied Vol. If markets are calm, volatility estimates are low, but during times of market stress volatility estimates will be raised. One very simple way to keep an eye on the general market levels of volatility is to monitor the VIX Index.


The way I like to take advantage by trading implied volatility is through Iron Condors . With this trade you are selling an OTM Call and an OTM Put and buying a Call further out on the upside and buying a put further out on the downside. Let’s look at an example and assume we place the following trade today (Oct 14,2020):

Sell 10 Nov 110 SPY Puts 1.16

Buy 10 Nov 105 SPY Puts 0.71

Sell 10 Nov 125 SPY Calls 2.13

Buy 10 Nov 130 SPY Calls 0.56

For this trade, we would receive a net credit of $2,020 and this would be the profit on the trade if SPY finishes between 110 and 125 at expiry. We would also profit from this trade if (all else being equal), implied volatility falls.

The first picture is the payoff diagram for the trade mentioned above straight after it was placed. Notice how we are short Vega of -80.53 . This means, the net position will benefit from a fall in Implied Vol.

The second picture shows what the payoff diagram would look like if there was a 50% drop in Implied vol. This is a fairly extreme example I know, but it demonstrates the point.

The CBOE Market Volatility Index or The VIX as it is more commonly referred is the best measure of general market volatility. It is sometimes also referred as the Fear Index as it is a proxy for the level of fear in the market. When the VIX is high, there is a lot of fear in the market, when the VIX is low, it can indicate that market participants are complacent. As option traders, we can monitor the VIX and use it to help us in our trading decisions. Watch the video below to find out more.

There are a number of other strategies you can when trading implied volatility, but Iron condors are by far my favorite strategy to take advantage of high levels of implied vol. The following table shows some of the major options strategies and their Vega exposure.

Archive for the trading strategies category

Factor Evaluation in Quantitative Portfolio Management

When it comes to managing a portfolio of stocks versus a benchmark the problem is very different from defining an absolute return strategy. In the former one has to hold more stocks than in the later where no stocks at all can be held if there is not good enough opportunity. The reason for that is the tracking error . This is defined as the standard deviation of the portfolio return minus the benchmark return. The less stocks is held vs. a benchmark the higher the tracking error (e. g higher risk).

The analysis that follows is largely inspired by the book Active Portfolio Management by Grinold Kahn. This is the bible for anyone interested in running a portfolio against a benchmark. I strongly encourage anyone with an interest in the topic to read the book from the beginning to the end. Its very well written and lays the foundations of systematic active portfolio management (I have no affiliation to the editor or the authors).

1 Factor Analysis

Here were trying to rank as accurately as possible the stocks in the investment universe on a forward return basis. Many people came up with many tools and countless variant of those tools have been developed to achieve this. In this post I focus on two simple and widely used metrics: Information Coefficient (IC) and Quantiles Return (QR).

1.1 Information Coefficient

The IC gives an overview of the factor forecasting ability. More precisely, this is a measure of how well the factor ranks the stocks on a forward return basis. The IC is defined as the rank correlation ( ? ) between the metric (e. g. factor) and the forward return. In statistical terms the rank correlation is a nonparametric measure of dependance between two variables. For a sample of size n . the n raw scores are converted to ranks , and ? is computed from:

The horizon for the forward return has to be defined by the analyst and its a function of the strategys turnover and the alpha decay (this has been the subject of extensive research). Obviously ICs must be as high as possible in absolute terms.

For the keen reader, in the book by Grinold Kahn a formula linking Information Ratio (IR) and IC is given: with breadth being the number of independent bets (trades). This formula is known as the fundamental law of active management . The problem is that often, defining breadth accurately is not as easy as it sounds.

1.2 Quantiles Return

In order to have a more accurate estimate of the factor predictive power its necessary to go a step further and group stocks by quantile of factor values then analyse the average forward return (or any other central tendency metric) of each of those quantiles. The usefulness of this tool is straightforward. A factor can have a good IC but its predictive power might be limited to a small number of stocks. This is not good as a portfolio manager will have to pick stocks within the entire universe in order to meet its tracking error constraint. Good quantiles return are characterised by a monotonous relationship between the individual quantiles and forward returns.

2 Data and code

All the stocks in the SP500 index (at the time of writing). Obviously there is a survival ship bias: the list of stocks in the index has changed significantly between the start and the end of the sample period, however its good enough for illustration purposes only.

The code below downloads individual stock prices in the SP500 between Jan 2005 and today (it takes a while) and turns the raw prices into return over the last 12 months and the last month. The former is our factor, the latter will be used as the forward return measure.

Below is the code to compute Information Coefficient and Quantiles Return. Note that I used quintiles in this example but any other grouping method (terciles, deciles etc) can be used. it really depends on the sample size, what you want to capture and wether you want to have a broad overview or focus on distribution tails. For estimating returns within each quintile, median has been used as the central tendency estimator. This measure is much less sensitive to outliers than arithmetic mean.

And finally the code to produce the Quantiles Return chart.

3 How to exploit the information above?

In the chart above Q1 is lowest past 12 months return and Q5 highest. There is an almost monotonic increase in the quantiles return between Q1 and Q5 which clearly indicates that stocks falling into Q5 outperform those falling into Q1 by about 1% per month. This is very significant and powerful for such a simple factor (not really a surprise though). Therefore there are greater chances to beat the index by overweighting the stocks falling into Q5 and underweighting those falling into Q1 relative to the benchmark.

An IC of 0.0206 might not mean a great deal in itself but its significantly different from 0 and indicates a good predictive power of the past 12 months return overall. Formal significance tests can be evaluated but this is beyond the scope of this article.

4 Practical limitations

The above framework is excellent for evaluating investments factors quality however there are a number of practical limitations that have to be addressed for real life implementation:

Rebalancing . In the description above, its assumed that at the end of each month the portfolio is fully rebalanced. This means all stocks falling in Q1 are underweight and all stocks falling in Q5 are overweight relative to the benchmark. This is not always possible for practical reasons: some stocks might be excluded from the investment universe, there are constraints on industry or sector weight, there are constraints on turnover etc

Transaction Costs . This has not be taken into account in the analysis above and this is a serious brake to real life implementation. Turnover considerations are usually implemented in real life in a form of penalty on factor quality.

Transfer coefficient . This is an extension of the fundamental law of active management and it relaxes the assumption of Grinolds model that managers face no constraints which preclude them from translating their investments insights directly into portfolio bets.

And finally, Im amazed by what can be achieved in less than 80 lines of code with R

As usual any comments welcome

The top stock-market strategy of the past50years

STAMFORD, Conn. (MarketWatch) — Mr. Market seems to have forgotten his meds.

Market returns have become so volatile that daily returns of 3%-5% — up or down — are hardly surprising. Volatility is a cruel beast, because it leads investors to make emotionally based decisions that center on the near term future and ignore longer-term opportunities. Moreover, many investors are staying out of the stock market entirely or selling their equity stakes.


says Liz Ann Sonders, Charles Schwabs chief strategist.

Europe’s frustrating gradual approach to the debt crisis is unlikely to change in the year ahead.

Sadly, investors tend to have terrible timing. One study by John Bogle, the founder of mutual-fund firm Vanguard Group, found that for the 20 years ending 2003, the SP 500 Index SPX, -1.12% returned 13% per year, while the average mutual fund returned 10.3% and the average investor achieved just a 7.9% annualized return. And that was before all of the emotional selling caused by the crash of 2008!

Another tragic example of mistimed asset allocation comes from the American Association of Individual Investors. AAII has surveyed its members since 1988, asking them what their current allocation is to stocks, bonds, and cash. The highest weight to cash — and lowest weight to equities — in the history of the survey was in March 2009, right at the bottom of the worst bear market since the 1930s. When was the highest weight to equities? January 2000, near the absolute top of the stock market’s 20 year bull run.

Clearly, panic and greed lead people to do the wrong thing at the wrong time — and to do so consistently.

Trending Value: Exceptional long-term performance

We believe the answer to this problem is re-framing each individual’s investing goals, time horizons, and strategies. Find the best, time-tested investment strategies and stick to them for long periods and through inevitable stretches of underperformance. With discipline, beating the market and earning strong returns over time is achievable.

In the fourth edition of “What Works on Wall Street,” we have identified what we believe to be the most successful investment strategies over very long periods. Many strategies in this book were tested back to 1927, which allowed us to evaluate them during recessions, runaway bull markets, and the Great Depression.

With this new research, we have refined the way that we measure characteristics in a way that boosts returns. We found that an updated combination of value and momentum strategies — a tactic we call “Trending Value” — is the best performing strategy since 1963.

Its annualized return of 20.58% through Sept. 30 crushes the All Stocks benchmark (an equally weighted benchmark of stocks with an inflation adjusted market cap great than $200 million), which has a return of 10.71%. Plus, the Trending Value approach achieves its return with a volatility of 17.69%, lower than the benchmark’s 18.26%.

2020 market outlook: Meeting in the middle

The last few years have been highlighted with record swings in market returns and widely oscillating economic data, but investment strategist Mark Lamkin expects 2020 will be less about extremes and more about the middle. Images: Traders

The strategy makes use of one of the main innovations from the book: the use of a composite value factor. In the original publication, we identified price-to-sales as the most effective value factor. In this latest edition of the book, we have learned that a composite that combines several different value factors delivers stronger returns and more consistency than any individual factor.

By spreading our bets and ensuring that a stock is cheap in a variety of ways, we believe we can identify better stocks. One version of the composite value factor combines the following measures of value:

• Price-to-Cash Flow

• EBITDA/Enterprise Value

• Shareholder yield (dividend yield + rate of share repurchases)

Each stock in the universe gets a score of 1 to 100 for each of these factors. The final value score is an average of these scores. The Trending Value portfolio narrows the investable universe to the 10% of stocks with the best score based on the value composite, and then selects a concentrated portfolio of 25 stocks based on trailing six-month momentum.

This simple combination builds a portfolio of extremely cheap stocks that are on the mend. The combination of value and momentum works better than either of these factors on its own.

Examples of stocks currently passing this strategy are Advance America Cash Advance Centers Inc. AEA, +0.00% , Tesoro Corp. TSO, +0.04% , and Smithfield Foods Inc. SFD, -0.58%

Of course, we certainly expect there to be stocks in our strategies that underperform, and these three stocks may not perform well in the coming year. But we also know that a diversified portfolio of stocks with the characteristics these stocks currently posses has fared extremely well over time. By focusing on the long term, and taking advantage of market volatility rather than being scared off by it, investors can beat the market in the long term and achieve their investing goals.

James O’Shaughnessy is Chairman and CEO of O’Shaughnessy Asset Management, and author of “What Works on Wall Street.” Patrick O’Shaughnessy is a Research Analyst at O’Shaughnessy Asset Management.

More from MarketWatch

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

High-Frequency Trading: A Practical Guide to Algorithmic Strategies and Trading Systems, 2nd Edition

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

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

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

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

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

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

Written by respected industry expert Irene Aldridge

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

Gold trade

Sunday, 23 August 2020 | comments

With the cost of gold hitting record-breaking highs numerous brokers are thinking about whether gold exchanging is an incredible approach to have the capacity to make extra benefits. Restricted that this should be possible is through the exchanging of the gold prospects contract. This is the place you are guessing that the cost of gold will rise or fall later on. Truly talking gold has been an extraordinary long haul speculation amid times of monetary vulnerability or emergency. Given the way that the world is at present in a monetary emergency and you have various worldwide pressures flaring gold is demonstrating why it is such an extraordinary venture amid times of incredible test.

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No Deposit Binary Options Brokers: Binary Trading

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Backtesting trading strategies mathematica

Backtesting trading strategies mathematica

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– Stocks in the Gold industry

Create the Trading System

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

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

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

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

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

// close: Price of the analyzed security

// sma: Function that creates a simple moving average

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

Create the Segmentation Function

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

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

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

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

In the editor, type the following formula :

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

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

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

– It then checks the value of „index”

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

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

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

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

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

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

Updating Your Trading System

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

Example of segments :

stringcontains(index(), ‚s+p 500’)

Stocks listed on NYSE:

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

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

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

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

seg1 = „stringcontains(group(), ‚stock’);stringcontains(index(), ‚s+p 500’);stringcontains(industry(), ‚medical’);stringcontains(market(), ‚nasd’);stringcontains(market(), ‚nyse’);hhv(high == hhv(high, 25), 25)”;

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

Backtesting blog

How to Download a Free Kindle Book

August 23rd, 2020 by jackieannpatterson | Post a Comment

Several clients asked how to download a free Kindle book during my promotion. You dont even need a Kindle to do it. A PC, MAC, ipad, or smartphone will do.

Now until Monday 8/25/14 my book Truth About ETF Rotation Fund Your Retirement by Investing in Top Exchange Traded Funds in One Hour Per Week (Beat The Crash Book 1) is offered free on Amazon. I will of course use it as the example.

Before you access the book, make sure you have a Kindle reader. If you dont have a kindle, check out the free app for your PC, MAC, or ipad:

Amazon Read eBooks using the FREE Kindle Reading App on Most Devices

Then follow the big red numbered steps in this screenshot:

2. In the Format box, select Kindle Edition.

3. In the Price area, you should see $0.00 for a free promotion. (My promotion only lasts until 8/25/14 and then the price goes back to $9.99 so get on this right away!)

4. Set the Deliver To pull-down menu to your preferred device.

5. Click Buy Now button. Yes it says Buy but when the price is $0.00 the product is free.

6. Amazon will guide you through logging into your Amazon account, or creating one if you dont have one.

7. Open your Kindle app, whether on a Kindle or another device, and your book should be there. (If not, try Sync on the menu).

How to Get a Kindle Reader

January 23rd, 2020 by jackieannpatterson | Post a Comment

If you want to read a book available on Kindle, such as my Truth About ETF Rotation e-book, you have several choices.

Of course you can just buy the top-of-the-line Kindle Fire HD .

Or, if youre looking for a zero dollar option, because maybe you just want to check out an e-book thats being offered Free on Kindle, you can:

Check out the full selection of FREE Kindle Reading Apps on Most Devices

How to Invest in ETFs Using a Simple Rotation Strategy

January 21st, 2020 by jackieannpatterson | Post a Comment

My focus for the past year has been backtesting ETF rotation strategies. At this point, Ive published the backtesting on Amazon, recorded training videos, created a portfolio rotation simulator. and established a live account for forward testing. In this article, I want to give you a summary of how to invest in Exchange Traded Funds (ETFs) using a rotation strategy.

Individual investors, particularly with a self-directed IRA, can take advantage of rotation strategies without putting in 10,000 hours to become a professional trader. Professional money-managers can apply these principals too — if theyve let go of the assumption that they need to spent a 40-hour work week on the market.

The key to investment success is: Buy Low and Sell High. Easier said than done, of course. What trips many investors up is the notion that they need to buy at the extreme low and sell at the extreme high. Not so. It is really only necessary to buy lower than one sells most of the time, and control losses the rest of the time, to come out with a profit.

Therefore the most important thing is to identify a good investment as it is moving up, because it is the upward movement that produces the profits. Relative strength is one proven metric for finding investments moving up. A simple way to quantify relative strength is Rate of Change (RoC) which is just the percentage gain over a certain time period.

Investors should expect difficulty so it is considered wise to diversify their holdings. Being ready to switch to better prospects also increases an investors chance of coming up with profits, as demonstrated by the backtesting results for ETF rotation compared to buy-and-hold of a diversified portfolio.

An Exchange Traded Fund or ETF is similar to a mutual fund in that the ETF holds a variety of stocks and the ETFs value changes as the underlying stock prices fluctuate. ETFs may invest in stocks, bonds, commodities and futures. Most ETFs go up when their holdings go up. Some ETFs, called inverse funds, are designed to increase in price when their underlying index goes down. This gives investors a straightforward means to hedge their bets and short the market.

ETFs tend to be passive investment vehicles like index funds. An index fund is an ETF or mutual fund that tracks an index, such as the S&P 500, by investing in the component stocks in the index. It turns out that this approach of following an index often comes out ahead of active management strategies that attempt to pick winning stocks.

ETFs also exist that invest in international stock indices, which is great because us individual investors have little hope of becoming global stock-picking experts.

A Simple ETF Rotation Strategy

The steps to creating a simple ETF rotation strategy come in two parts: the background work to set it up and the on-going execution of the strategy.

For set-up, one needs to decide:

Type of account: Tax-Deferred (preferred) or Taxable.

Pool of investment candidates, in this case a selection of ETFs that track various global and domestic stock and bond indices.

Selection criteria, such as high percentage gain or RoC.

How far back to measure the RoC to catch the trend of rising ETFs. Make it too short and the system will lose money by thrashing among funds that happened to have a good day. Make it too long and you will only rotate in after most of the profits are gone.

Number of funds to hold at any one given time.

How often to rotate, as in daily, weekly, monthly, annually.

Under what conditions to stand aside.

How often to rebalance.

For the on-going operation of an ETF Rotation strategy, the steps are:

Wait for the rotation day and do nothing in between. This is important!

On rotation day:

Check the RoC (percentage gain) of all the ETFs and single out the top performers with the best percentage gain.

If you already own the top funds, do nothing,

If one of your investments has fallen from the top, sell it and buy into highest performer that you dont already own.

More information, parameter settings, and backtesting results are in my book: Truth About ETF Rotation: Fund Your Retirement By Investing In Top Exchange Traded Funds in One Hour Per Week (Volume 1) .

Brief on Backtesting of ETF Rotation

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Stochastic Oscillator

Oscylator stochastyczny jest wskaźnikiem pędu porównującym określoną cenę zamknięcia aktywa z zakresem jego cen w pewnym okresie czasu. Wrażliwość oscylatora na ruchy na rynku można zmniejszyć dostosowując ten okres czasu lub ustawiając inną średnią ruchomą w parametrach. Służy do generowania sygnałów transakcyjnych wykupienia i wyprzedania, wykorzystując zakres wartości ograniczony od 0-100.

Stochastic Oscillator jest związany z zakresem, co oznacza, że ​​zawsze wynosi od 0 do 100. To czyni go użytecznym wskaźnikiem warunków wykupienia i wyprzedania. Tradycyjnie odczyty powyżej 80 są uwzględniane w zakresie wykupienia, a odczyty poniżej 20 uważane są za wyprzedane. Jednak nie zawsze wskazują one na zbliżające się odwrócenie, ponieważ bardzo silne trendy mogą utrzymać warunki wykupienia lub wyprzedaży przez dłuższy okres. Zamiast tego inwestorzy powinni szukać zmian w stochastycznym oscylatorze, aby uzyskać wskazówki dotyczące przyszłych zmian trendów.

PowyЕјszy zrzut przedstawia sygnaЕ‚y z wykorzystaniem wskaЕєnika Stochastic Oscillator.

Wykresy stochastycznego oscylatora zazwyczaj skЕ‚adajД… siД™ z dwГіch linii: jednej odzwierciedlajД…cej rzeczywistД… wartoЕ›Д‡ oscylatora dla kaЕјdej sesji i jednej odzwierciedlajД…cej jego 3-okresowД… Е›redniД… ruchomД…. PoniewaЕј uwaЕјa siД™, Ејe cena podД…Ејa za pД™dem, przeciД™cie tych dwГіch linii jest uwaЕјane za sygnaЕ‚ przyszЕ‚ego odwrГіcenia kierunku ruchu.

Rozbieżność między oscylatorem stochastycznym a kierunkiem podążania ceny jest również postrzegana jako ważny sygnał odwracający. W podstawowej interpretacji wskaźnika Stochastic Oscillator inwestorzy powinny szukać pozycji kupna po przecięciu linii sygnalnych przy wartościach wskaźnika poniżej poziomu 20 oraz analogicznie pozycji sprzedaży powyżej poziomu 80.

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