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Selasa, 24 Mei 2016

1 Min EUR USD Scalping Strategy - forex trading session times

1 Min EUR USD Scalping Strategy ~ forex trading session times


1 Min EUR/USD scalping strategy is a trend-momentum trading system.
Time Frame 1 Min but this forex trading system is good also with 5 min time frame ( and you can use majors currency pairs).
Currency pair: only EUR/USD
Sessions: London and New York.

Financial Technical Indicators
9 EMA close;
Bollinber bands with 18 Deviation 2 period, close and 1 shift,
Paraboli Sar indicator step MIN 0.019 and Max 0.08, (PSAR for trend direction)
MACD with default settings (12,26, 9) close,
RSI 14 period close with level 50.

Buy
1. when 9 EMA crosses above middle of BB.
2. MACD is above zero line.
3. RSI is above 50.
4. PSAR for verify trend direction.
Sell
1. when 9 EMA crosses above middle of BB.
2. MACD is above zero line.
3. RSI is above 50.
4.PSAR for verify trend direction.

Please keep 12 pips stop loss.
Make profit first target 5 pips after use trailing stop for will to catch bigger trend as well.
1 Min EUR/USD Scalping Strategy
1 Min EUR/USD Scalping Strategy
1 Min EUR/USD Scalping Strategy
1 Min EUR/USD Scalping Strategy


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Instant Pip Profit - forex market hours gadget

Instant Pip Profit ~ forex market hours gadget


Prices at the upper Bollinger band are considered high and prices at the lower Bollinger band are considered low. However, just because prices have hit the upper Bollinger does not necessarily mean that it is a good time to sell. Therefore, just buying at the lower band and selling at the upper band is out of the question. By definition, price makes new highs in an uptrend and new lows in a downtrend, which means that they will naturally be hitting the bands. With this information in mind, our filter will require that buy signals occur only if the candle following the one that hits the Lower Bollinger band does not make a new low (white candle) and sell signals occur only if the candle following the one that hits the Higher Bollinger band does not make a new high (black candle). This type of candle is commonly known as an inside day. The best time frames to look for the inside days are daily charts, but this strategy can also be used on hourly, weekly and monthly charts. Combining inside days with Bollinger bands increases the likelihood that we are only picking a top or bottom after prices have hit extreme levels. As a rule of thumb, the longer the time frame, the rarer the trade will be, but the signal will also be more significant.
For Buy
1. Look for the currency pair to hit or come very close to hitting the lower Bollinger.
2. Wait for next candle and make sure that the next candles low is greater than or equal to the previous candles low and that the high is also less than or equal to the previous periods high. Basically it should be within the previous candle high and low. Also make sure the candle is while candle. If so, go long at the open of the third candle.
3. The initial stop is placed a few pips below the previous candles low.
4. Trail stop on a closing basis with the 20-period SMA.

For Sell
1. Look for the currency pair to hit or come very close to hitting the upper Bollinger.
2. Wait for next candle and make sure that the next candles high is less than or equal to the previous candles high and that the low is also greater than or equal to the previous periods low. Basically it should be within the previous candle high and low. Also make sure the candle is while candle . If so, go short at the open of the third candle.
3. The initial stop is placed a few pips above the previous candles high.

4. Trail stop on a closing basis with the 20-period SMA.

Instant Pip Profit



Instant Pip Profit reversal Trading with Bollinger Bands



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Senin, 23 Mei 2016

Gazele naturale se pregatesc de long - forex trading platforms for beginners

Gazele naturale se pregatesc de long ~ forex trading platforms for beginners


Din anul 2014, cand in luna februarie realiza un top la 6.41, gazele naturale s-au depreciat continuu. Dupa cum putem sa vedem in graficul nostru de 4H, pretul a reusit sa strapunga linia de rezistenta a canalului de pret si in acest moment consolideaza peste aceasta linie de rezistenta. Consideram ca foarte curand pretul la gazele naturale se va aprecia. Asteptam cu interes ca aceasta structura de consolidare construita sub nivelul de rezistenta dinamica a arcului de cerc sa fie sparta pentru a deschide o pozitie long cu un prim target in zona lui 2.77.


Înscrieri la Cursurile de Analiz? Gann ?i abonare la Buletinul de Analiz? S?pt?mânal? Gann pe email
gannmasterforex@gmail.com  si pe Patreon.com

Daca analizele noastre va plac distribuiti link-ul prietenilor dumneavoastra pe canalele de socializare. Doriti sa aflati mai multe despre analiza Gann, puneti intrebari in rubrica noastra de comantarii. Va vom raspunde pe blog sau in privat dupa cum doriti.  

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Position Size - forex trading times london

Position Size ~ forex trading times london


A position sizing rule determines the number of contracts or shares that are committed to each trade.
It is very easy to see the impact of position sizing at either extreme.
If we trade a position size that is too small—for example, one S&P con- tract per $1,000,000—our trading equity is not being used at optimal levels. Conversely, a position size that is too large—for example, 100 S&P per $100,000—for our capital can increase our risk of ruin to certainty.
Only the most naive and inexperienced of traders will be ensnared by either of these extremes. It is in the area between these two opposite ends of the spectrum, however, where a sizing rule will have the most impact on strategy performance, whether positive or negative.
The best and most efficient sizing principle will be the one that applies our trading capital in an optimal manner so as to achieve maximum returns with an affordable risk.
We will look at four position sizing examples:
1. Volatility adjusted
2. Martingale
3. Anti-Martingale
4. The Kelly method
A volatility adjusted sizing rule uses the size of the account and the size of the risk assumed per contract per trade.
Definition: Volatility adjustedposition sizing determines the number of contracts or shares per trade as a fixed percentage of trading equity divided by the trade risk.
For example, assume:
1. A risk size of 3 percent of equity
2. A risk per contract of $1,000
3. An account size of $250,000
The trade unit would be seven contracts and is calculated as follows:
Total Equity to Risk = $7,500($250,000 × .03)
Number of Contracts = 7($7,500/$1,000 = 7.5 rounded down = 7)
An example of a well-known money management rule is the Martingale strategy. It is derived from a gambling money-management method.
Definition:The Martingale sizing rule doubles the trade size after each loss and starts at one unit after each win.
There are a number of variations on this theme. One such variation is anti-Martingale.
Definition: The anti-Martingale sizing rule doubles the number of trading units after each win, and starts at one unit after each loss.
Optimal f (fixed fractional trading) was introduced by Ralph Vince in 1990. It is based on a formula derived from the Kelly method, which was, in turn, applied by Professor Edward Thorpe to gambling and trading.
Let us look at one implementation of the Kelly formula.
Kelly% = (Win% ? Loss%)/(Average Profit/Average Loss).
Position size

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Sabtu, 21 Mei 2016

Profit target - forex trading hours malaysia time

Profit target ~ forex trading hours malaysia time


The other way to protect open equity profit is to take profits when a predetermined price level or profit threshold has been reached. There are many ways to calculate such profit target thresholds. Profit target orders are set with price or better or price limit orders.
Definition: A profit target is an unconditional exit of a trade with a locked-in profit at some predetermined price or profit level. The incorporation of a profit target into a trading system is a more proactive and aggressive method of profit management. The most positive aspect of a profit target is that once the desired profit is realized, it is captured immediately. It therefore cannot be lost like it can be with a trailing stop. The negative aspect occurs when a profit is taken and the market continues to move well beyond this target level. These potential additional gains are lost because our profit target has closed out the position.
There are trade-offs with the use of profit targets. Some traders cannot live without them just as some cannot live with them. Trading systems that use profit targets, in contrast to those that do not, can be less profitable overall but can produce a higher percentage of winning trades and a smoother equity curve. Sometimes profit targets reduce per trade, and total risk and overall performance can be more stable.
Not all systems are improved by th euse of profit targets.Whether profit targets are beneficial or not very much depends on the style and pace of the trading strategy. In general, active, countertrend trading strategies that trade from overbought and oversold conditions benefit the most from profit target orders. Conversely, slower, trend-following trading strategies generally benefit the least from profit targets.
Profit Target
Profit Target

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Legea Cauzalitatii in tehnicile Gann - forex market hours usa

Legea Cauzalitatii in tehnicile Gann ~ forex market hours usa


Miscare de acceleratie a pretului absolut superba pe perechea EUR/USD pornita pe nivelul de suport dinamic al unghiului 1x1 aflat in confluenta cu nivelul de rezistenta timp de 33%. Dupa cum putem sa observam in graficul nostru de mai sus pretul si-a finalizat miscarea descendenta pe nivelul de suport dinamic al unghiului 1x1 exact in momentul in care s-a izbit de nivelul de rezistenta timp de 12,50%. Dar de ce a realizat acest bottom major chiar acolo si chiar atunci? Iata o intrebare al carui raspuns este extrem de important. Gann afirma ca in piata ceea ce a mai fost va mai fi. Miscarile de pret respecta anumite patternuri armonice ciclice. Ca sa gasim raspuns la aceasta intrebare ar trebui sa ne intoarcem in timp. Urmariti cu atentie graficul de mai jos.
Dupa cum putem sa vedem pretul a realizat un double bottom. Cand s-a finalizat cel de-al doilea picior al patternului ? In momentul in care pretul se gasea pe nivelul de suport dinamic al unghiului 2x1 aflat in confluenta cu nivelul de rezistenta de 12,5% timp. Revenim la primul grafic si ce observam? Cand s-a format bottom-ul? In momentul in care pretul se gasea pe suportul dinamic al unghiului 1x1 aflat in confluenta cu nivelul de rezistenta de 12,5% timp. Este aici o coincidenta? Vorbim de o simpla intamplare? Personal nu cred in intamplari. Tot ce se petrece in lume se supune legii cauzalitatii. Totul are o cauza ce genereaza un efect. Credinta lui W.D.Gann a fost ca atunci cand invatam sa citim cauzele putem sa predictionam cu exactitate efectele. Tehnica de tranzactionare Gann ne pune la dispozitie o serie de instrumente matematice ce permit determinarea cauzelor si a efectelor lor.
Sunt intrebat de foarte multe ori: Ce va face pretul? Urca? Stagneaza? Coboara? Cand si pana unde va evolua pretul? Raspunsurile la toate aceste intrebari le gasim in grafic. Dar nimeni nu poate sa faca tranzactii corecte cu grafice "aproximative".

Cursul de tranzactionare Gann, pe care il vom incepe saptamana viitoare, ne va invata pas cu pas :
-Scalarea graficelor.
-Setarea instrumentelor de timp si de pret.
-Determinarea vibratiilor Gann
-Constructia corecta a unghiurilor
-Citirea graficelor Gann
-Determinarea nivelelor de intrare intr-o tranzactie
-Stabilirea nivelelor de stop loss
-Calcularea raportului Risc-Profit
-Filtrarea tranzactiilor
-Managerizarea tranzactiilor
-Iesirea dintr-o tranzactie
Cursul se va desfasura prin email si dureaza  11 zile.
Pe parcursul cursului toate tehnicile vor fi ilustrate cu exemple practice, pas cu pas, din piata Forex curenta.
Cursul se sustine in limba romana. Studentii din strainatate pot sa-l traduca cu ajutorul google translate. Cursul este insotit de foarte multe exemple grafice, practice. In cazul in care studentii din strainatate vor avea neclaritati datorate traducerii automate cu google translate vor putea sa puna intrebari concrete si vor primi raspunsurile in limba engleza.

Inscrierile la curs se fac la adresa de email gannmasterforex@gmail.com
Plata se face prin paypal.
Fiecare student incepe cursul imediat dupa confirmarea platii si finalizeaza dupa 11 zile.
Pe tot parcursul cursului studentii pot sa puna intrebari asupra tematicilor abordate. 


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Înainte de FMOC - forex trading application software

Înainte de FMOC ~ forex trading application software


În ultimele zile am primit câteva zeci de solicit?ri din partea cititorilor acestui blog ?i a abona?ilor la "Buletinul de Analiz? s?pt?mânal? Gann", s? scriu o analiz? mai ampl? despre scenariile pe care eu le v?d pentru ziua de 16 decembrie, ziua în care FMOC va anun?a dac? va majora dobânda pe dolarul american.
Mai sunt aproximativ 20 de ore pân? când vom ?ti dac? dobânda pe dolarul american va fi majorat? sau nu.
Probabilitatea ca dobânda dolarului american s? fie majorat? este foarte mare. Dac? vom urm?ri datele de la Fed Futures-un instrument futures de la CME, care practic ne prezint? cota de pariuri a traderilor pe dobânda de baz?, probabilitatea ca aceast? dobând? s? fie majorat? de la 0,25 la 0.50, pe 16 decembrie, este de 81.4% .
Cei care doresc s? analizeze în timp real datele de pe FED Futures CME pot s? acceseze link-ul urm?tor http://www.cmegroup.com/trading/interest-rates/countdown-to-fomc.html
Doar 18,6% consider? c? dobânda poate s? r?mân? neschimbat?. Dup? cum vedem exist? o probabilitate covâr?itoare ca rata de dobând? pe dolarul american s? fie mâine majorat?.
Ce se poate întîmpla dac? FED majoreaz? dobânda? R?spunsul este foarte simplu, vom asista la o apreciere a dolarului american. Întrebarea fundamental? îns? este alta: Cît de mult se va majora dolarul american?
R?spunsul la aceast? întrebare este mult mai greu de dat ?i ?ine de mult mai multe aspecte pe care ar trebui s? le analiz?m.
În primul rând trebuie s? r?spundem la întrebarea dac? FED chiar dore?te s? înt?reasc? foarte mult dolarul american.
Personal consider c? NU. FED nu dore?te un dolar foarte puternic. Majorarea dobanzii dolarului poate s? fie extrem de negativ?
pentru pie?ele bursiere americane. Altfel spus, FED dore?te s? majoreze dobânda dolarului pentru a trimite un semnal dar în acela?i timp nu-?i dore?te s? fac? acest lucru printr-o decizie brusc?, foarte puternic?, pentru c? aceasta ar putea s? declan?eze o recesiune economic?. În acest context ce ar putea s? fac? FED? R?spunsul cred c? ne va fi oferit în conferin?a de pres? de dup? decizia FMOC ?i aici putem s? în?elegem de ce FED a dorit ca aceast? majorare de dobând? s? fie f?cut? la o dat? la care ?edin?a este urmat? de o conferin?? de pres?. Aici va trebui s? facem o scurt? parantez? ca s? reamintim c? nu toate ?edin?ele FMOC sunt urmate de conferin?e de pres?.
Este cunoscut c? de cele mai multe ori, volatilitatea din timpul conferin?elor de pres? sus?inute pre?edin?ii b?ncilor centrale, este mai mare decât cea din timpul lans?rii datelor. De ce? Pentru c? în timpul conferin?elor de pres?, pre?edin?ii b?ncilor centrale r?spund spontan la întreb?rile ziari?tilor acredita?i ?i aceste r?spunsuri pot s? genereze surprize în pia??.
Consider deci c? în conferin?a de pres? de dup? FMOC, pre?edinta FED ar putea s? ne ofere câteva surprize majore care s? tempereze în mod substan?ial aprecierea dolarului.
S? lu?m în calcul un prim scenariu. FMOC anun?? majorarea dobanzii dolarului american de la 0.25% la 0.50%. Dolarul va începe s? se înt?reasc? fa?? de celelalte monede dar pre?edinta FED, în conferin?? ne anun?? c? decizia de majorare nu va fi urmat? în lunile urm?toare de noi major?ri de doband?. Altfel spus, FED va a?tepta un num?r de luni, nedefinit, pentru a vedea cum se implementeaz? noua sa decizie.
O asemenea declara?ie va surprinde în mod negativ traderii ?i va frâna foarte serios tendin?a de apreciere a dolarului american. Un alt aspect de care trebuie s? ?inem cont este c?, a?a cum ar?tam ?i la început, peste 81% dintre traderii care tranzac?ioneaz? instrumentul FED Futures, traderi institu?ionali în cea mai mare parte, deci traderi informa?i, consider? c? aceast? majorare va avea loc. Este cunoscut c? la data la care este f?cut? cunoscut? o dat?, un raport economic etc, aceasta a fost deja înglobat? în pre?. Ce înseamn? acest lucru? C? pia?a anticipeaz? datele. Este foarte important s?
în?elegem acest aspect, mai ales cei care doresc s? tranzac?ioneze la ?tiri. La ?tiri pia?a reac?ioneaz? major doar atunci când datele publicate nu sunt corelate cu datele anticipate. Dac? datele publicate sunt în linie cu prognoza, pia?a reac?ioneaz? insignifiant.
Mâine pia?a dup? cum vedem, în propor?ie de peste 81% consider? c? dobânda va fi majorat?, deci pia?a a înglobat o mare parte din aceast? ?tire ?i doar o mic? parte nu este înc? înregistrat? în pre?. Putem deci s? consider?m c? aprecierea de maine a dolarului american nu va fi atât de mare pe cît sunt tenta?i unii s? cread?. O declara?ie de genul c? majoararea dobanzii nu va fi urmat? de m?suri similare în perioada imediat urm?toare ar putea s? frâneze apetitul de cre?tere al dolarului ?i cred c? aceasta va fi strategia pe care FED o va aborda. Astfel va transmite ?i semnalul de care are nevoie în leg?tur? cu dolarul american dar nici nu va declan?a o depreciere masiv? pe bursa american?. Vom asista la o strategie inteligent?, bine orchestrat? ce cred c? va fi interpretat? magistral de pre?edinta FED.


Înscrieri la Cursurile de Analiz? Gann ?i abonare la Buletinul de Analiz? S?pt?mânal? Gann pe email
gannmasterforex@gmail.com  si pe Patreon.com

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EUR NZD marcheaza primul target la 199 de pips - forex trading platforms usa

EUR NZD marcheaza primul target la 199 de pips ~ forex trading platforms usa


EUR/NZD dupa finalizarea structurii de corectie a intrat intr-o miscare ascendenta accelerata. In cursul de analiza cu elevii le recomandam sa deschida o pozitie long EUR/NZD cu un prim target la 1.6417  si un al doilea target la 1.6695. Dupa cum se poate vedea in graficul de mai sus, pretul a ajuns pe zona noastra de target vom marca aici partial profitul la +199 de pips si vom muta pozitia la BE+. Ramanem long in free trade.

Înscrieri la Cursurile de Analiz? Gann ?i abonare la Buletinul de Analiz? S?pt?mânal? Gann pe email
gannmasterforex@gmail.com  si pe Patreon.com


Daca analizele noastre va plac distribuiti link-ul prietenilor dumneavoastra pe canalele de socializare. Doriti sa aflati mai multe despre analiza Gann, puneti intrebari in rubrica noastra de comantarii. Va vom raspunde pe blog sau in privat dupa cum doriti.  

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Jumat, 20 Mei 2016

FX Brokers - forex market hours open

FX Brokers ~ forex market hours open


FX Brokers
Your trading experience will be directly tied to the type of brokerage firm you use.
Two types of retail FX brokers offer speculative currency trading to investors: traditional brokers that provide clients access to an ECN and brokers that operate as dealing desks.

ECN Brokers
an ECN is an electronic communication network in which currency pairs are traded by banks, central banks, corporations, and now speculators. ECN brokers, however, are also known as non-dealing-desk brokers because, similar to the traditional sense of a broker, they serve as an agent to provide customer access to the FX market (an ECN) as opposed to dealing the FX pairs directly to their clients by acting as a counterparty. ECN brokers are nothing more than the intermediary that brings speculators to liquidity providers (banks and other counterparties). In essence, they attempt to find the best price for the retail trader and facilitate/execute orders on their behalf. Don’t forget that there are several ECNs, and the brokerage firm you choose will determine the quality and size of the ECN. Therefore, bids and asks, and the spread between, can vary from broker to broker.
Retail traders opting for a non-dealing-desk broker will enjoy direct access to a true currency market, and the quotes they see within their platform represent the lowest price at which other participants are willing to sell and the highest price at which they are willing to buy. It might be easier to understand this by thinking of it this way: When you look at quotes flashing on the FX trading platform of a trader using an ECN broker, you see the best offer (ask) and the best bid of all available counterparties on the ECN.

Dealing desk FX Brokers
Dealing-desk brokers go beyond facilitating the transaction. They actually participate it in by “dealing” trades to clients and taking the other side of the execution. Plainly, if you are trading with a dealing-desk brokerage firm, when you go short a currency pair, the desk goes long. as a result, such brokerage firms are often referred to as market makers.
When you have an account with a market maker, your trades are not being matched
by external providers but by the market maker themselves. This means that they take
the opposite position and offer their prices to you, although of course these prices relate to the current price in the market. They will then offset their risk by taking an equivalent position to yours in an ECN or other environment.
Since they are not actually placing your order in the market, market makers are not brokers in the true sense of the word although most traders use the term forex broker loosely and include them.
The dealing-desk arrangement, or non-ECN broker, creates a significant conflict of interest between the trader and the brokerage simply because the brokerage firm stands to make money as its client loses, and vice versa. This is a rather simplistic view because dealing desks typically offset their market risk by taking the opposite position in an actual interbank market, but you get the idea. If you are a buyer of the USD/JPY and your broker is the seller, the entity you have essentially hired to facilitate your FOREX trading is benefiting from your misery and suffering from your victory. I can’t think of any compelling arguments suggesting this arrangement is conducive to the success of traders.
FX Brokers
FX Brokers

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Euro a ajuns pe zona de finalizare a corecției - forex trading web based platforms

Euro a ajuns pe zona de finalizare a corecției ~ forex trading web based platforms


Eur/Usd a str?puns primul nostru nivel de suport vizat. Dup? cum vedem în graficul de mai sus, moneda european? evolueaz? în acest moment în divergen?? cu indicatorul MACD. Marc?m înc? o parte din profitul realizat la +67 de pips ?i strangem la maxim nivelul de stop. Ne preg?tim pentru ini?ierea unei pozi?ii long.

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Selasa, 17 Mei 2016

Trading Styles - forex trading hours new years eve

Trading Styles ~ forex trading hours new years eve


There are different trading styles that can be applied.Thoset raders looking for very quick moves can adapt scalping strategies and tactics. A great portion of forex traders put on trades that have moderate-size intraday durations that allow the currency pair to move through a range. These traders go for 10 to 30 pip moves. Multiple day trades allow for larger profit objectives of 100 pips or more. Forex trading can also include the goal of trading for income. This goal is featured in carry trades and is a dominant strategy of large hedge funds and institutions. But carry trades are also possible for the average retail trader.
The beginning trader should explore many of these styles and strategies by creating trading setups that use a combination of technical indicators, and chart patterns to pin- point conditions for a trade there is no single style of trading, nor any one technical indicator
or methodology that will be sufficient. Successful trading of forex is a combination of
fundamental knowledge, technical tactics, and experience in pattern recognition.
The main style of trading are:
Range Trader,
Scalper Trader,
Day Trader,
Swing Trader,
Position Trader,
Meccanical Trader,
Carry trader,

News Trader.
Trading Styles
Trading Styles

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Senin, 16 Mei 2016

Venus și Marte à n Balanță ne semnalează posibile schimbări de tendințe - forex trader platform download

Venus și Marte à n Balanță ne semnalează posibile schimbări de tendințe ~ forex trader platform download


S?pt?mâna precedent? de tranzac?ionare s-a finalizat cu mi?c?ri importante de pre?, pe toate perechile valutare, generate de datele NFP.
Departamentul Muncii din Statele Unite a dat publicit??ii
ultimele date, privind crearea de noi locuri de munc? ?i ?omajul exact la ora când Luna se g?sea în conjunc?ie cu planeta Jupiter în mijlocul zodiei Fecioarei, semn care este al for?ei de munc?. O combina?ie astral? extrem de puternic? care s-a reflectat perfect ?i în datele statistice. Salariile muncitorilor au crescut cu 2,5%, mai mult decât a?tepta pia?a. Rata ?omajului a sc?zut la 5% ?i num?rul locurilor de munc? nou create a crescut cu 271.000.
Datele pozitive s-au corelat perefect cu structura astral? extrem de puternic? ?i au generat o apreciere puternic? a dolarului american ?i implicit o sc?dere a monedei europene, a aurului, argintului ?i a bonurilor de tezaur americane.
În mod evident trebuie s? ne gândim, în acest moment, c? FED ?i-a atins toate dezideratele pentru ca în ?edin?a din luna decembrie s? m?reasc? rata de dobând? pentru dolarul american. O majorare atât de a?teptat? ?i comentat? de c?tre pia??.
Jupiter va continua s? r?mân? în zodia Fecioarei pân? la mijlocul lui 2016 ?i din perspectiv? astral? aceasta ne sugereaz? c? num?rul locurilor de munc? va continua s? creasc? dar trebuie s? nu uit?m c? majorarea taxelor ?i ratelor de dobând? vor obliga companiile s? reduc? num?rul angaja?ilor, probabil dup? alegerile din 2016. Spunem de foarte multe ori c? istoria se repet?, c? nimic nu este nou sub Soare.
Acest concept st? la baza analizei tehnice. Este suficient s? ne întoarcem pu?in în timp, în anul 2008, ?i vom vedea c? atunci, într-o situa?ie similar?, criza s-a manifestat major înainte de alegeri.
În publica?ia "USA Today" din 6 noiembrie 2015, fostul secretar al Trezoreriei americane declara "Pericolele cu care se confrunt? economia mondial? sunt mai severe decât oricând, de la falimentul Lehman Brothers în 2008". Declara?ia sa este extrem de realist? ?i nu poate fi ignorat?.
Dac? revenim la analiza noastr? astral? trebuie s? nu uit?m c? FED a fost înfiin?at pe data de 23 decembrie 1913, când Soarele se g?sea în zodia Capricornului la 1 grad, în aspect de opozi?ie cu planeta Pluto (planeta datoriilor) care se afla la 0 grade în zodia Racului.
Dup? cum vedem ambele planete se g?seau în semne cardinale. Dac? analiz?m graficele vom vedea cu u?urin?? c? atunci când planetele se g?sesc în semne cardinale fac aspecte grele Soare/ Pluto, care coincid cu modific?ri de politic? fiscal? a FED, anun?uri importante ale FED, care în mod evident au un impact direct asupra pre?urilor bonurilor de tezaur ?i ulterior au avut impact asupra celorlalte instrumente financiare.
În perioada 8-12 noiembrie atât planeta Venus cât ?i planeta Marte vor traversa zodia Balan?ei, semn cardinal. Este firesc s?
ne a?tept?m ca ?tirile ?i datele ce vor ap?rea de la FED s? genereze o inversare a pre?urilor bonurilor de tezaur.
Marea majoritate a anali?tilor se a?teapt?, a?a cum spuneam deja, ca în luna decembrie FED s? decid? majorarea dobanzii pentru dolarul american. De cinci s?pt?mani de zile pre?ul bonurilor de tezaur sunt în c?dere liber? marcând, noi minime. Trcerea lui Venus ?i Marte prin zodia Balan?ei ne face s? ne a?tept?m la o finalizare a acestei mi?c?ri descendente ?i o inversare a tendin?ei. Dar ce ar însemna acest lucru din perspectiv? fundamental?? O temporizare din partea FED a datei major?rii ratei dobanzii. Aceasta ar fi, în mod clar, în contradic?ie cu a?tept?rile anali?tilor ?i implicit ale pie?ei.
Sigur în acest moment, toate aceste a?tept?ri ale noastre de inversare a trendurilor, pot s? par? u?or ciudate, în contradic?ie cu ceea ce ne arat? graficele. Noi încerc?m îns? s? analiz?m pia?a din perspectiva astrologic? ?i ne uit?m nu doar la traversarea zodiei Balan?ei de c?tre Venus ?i Marte ci ?i la aspectul dintre Saturn ?i Neptun din data de 26 noiembrie ( un ciclu de 36 de ani). Un aspect astral care dac? îl vom c?uta pe graficele noastre ne va  ar?ta o corelare excep?ional? cu datele de modificare a politicilor ratei dobanzii.
Începe o perioad? care din perspectiv? astrologic? ne oblig? s? fim foarte aten?i la evolu?ia pre?urilor pentru c? putem asista la invers?ri importante de tendin?e,

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GBP AUD se pregateste de long - forex trading software android

GBP AUD se pregateste de long ~ forex trading software android


Lira sterlina versus dolarul australian a testat zona de suport a canalului de pret descendent si a intrat intr-un raliu in care a spart nivelul de rezistenta dinamica a unghiului 1x1 descendent din box-ul nostru de 45 de zile. In acest moment pretul s-a lovit de nivelul de rezistenta istorica si cel mai probabil va intra in miscare descendenta scurta pentru a testa drept suport dinamic unghiul 1x1 ascendent. Cel mai probabil aceasta testare se va finaliza pe rezistenta de 50% timp a box-ului nostru Gann. Asteptam finalizarea acestei corectii pentru a initia o pozitie long GBP/AUD cu target pe nivelul de rezistenta dinamica a unghiului 8x1.

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Minggu, 15 Mei 2016

Pink Scalping - forex market trading hours gmt

Pink Scalping ~ forex market trading hours gmt


Pink scalping is to trade a news release.
I usually change timeframes between 15 Minute and 1 Minute charts when I’m scalping.
If I want to trade a news release, I would have the 15 Minute and 5 Minute charts open.
Aside from the normal setup on 15 Minute charts, I also apply support and resistance lines following the fractals formed on the price. On the 15 Minute timeframe, I just place lines manually to indicate areas that have repeatedly served as areas of support and resistance. I also draw trendlines to indicate the price direction.

Indicators:
ADX (14),
EMA 14 close,
EMA 21 close,
EMA 40 close,
Trendline
Fractals or Swing High/Low
Pivot Points.

Pink scalping rules
I have two scalping methods of trading. The first method is used for scalping during
news releases and the other is for normal scalping.
News Straddle Approach
1. Set up a schedule for the day with high impact news releases for the EURUSD,
GBPUSD, AUDUSD, EURJPY, USDCAD and NZDUSD.
2. Five minutes before a high impact news release, place a pending buy and a pending
stop order, both 20 pips away from the price on the 5 Minute chart.
4. Set the stop losses 30 pips from the pending orders.
5. Wait for a trade to be entered then exit the trade manually with a profit of 5 pips or
more.
Normal Scalping Approach For Buy Trades
1. On the 15 Minute chart, check for any of the following signals:
a. The price is above the 21 period exponential moving average (dark orange or
red).
b. The 14 period moving average (magenta or purple) is above the 21 period
moving average. This indicates that the trend is an uptrend on the 15 Minute
timeframe. At times, I also use 5 and 8 period moving averages. They should be
above the 21 period moving average too.
c. The ADX is sloping up and is above the 30 level. This indicates that the uptrend
momentum is gaining strength.
d. The trendline indicator is slanting up. This also indicates that the trend is an
uptrend on the 15 Minute timeframe.
2. Go to the 1 Minute chart and check for the following signals:
a. The trendline indicator is slanting up, which indicates that the trend is an uptrend.
b. The ADX is sloping up or is above the 30 level.
3. Enter a buy trade on the 1 Minute chart when any one of the following conditions
occur:
a. The price breaks a resistance level or a previous swing high on the 1 Minute or
15 Minute timeframes.
b. The price bounced off from the lower trendline on the 1 Minute or 15 Minute
timeframes.
c. The price pulled back to the 21 EMA or a shorter period EMA on the 1 Minute or
15 Minute timeframes.
2. Set the stop loss level 30 pips below the price, or below the previous low. Move the
stop to the entry price (breakeven) at 5 pips profit.
3. Exit the trade at a profit of 5 pips or more.
Pink scalping
Pink scalping
In this example, the trendlines are going upward indicating that the main trend is an
uptrend on the 1 Minute and 15 Minute timeframes.
I noticed that the price had bounced from the lower trendline and was going up. Looking
at the ADX, it is also going up. So, once price had crossed above the moving averages,
I entered a buy trade before the candle closed.
I set my stop loss level below the swing lows. As soon as the trade reached 5 pips in
profit, I exited the trade.
This example is an ideal trade, but in case the price does not behave as expected, you
will have to take the profit that the market is willing to give you.
The news scalping strategy for a sell trade has the same guidelines with buy trades
because you enter both buy and sell pending orders every time.
Follow the guidelines below to enter trades without high impact news releases.
Normal Scalping Approach For Sell Trades
1. On the 15 Minute chart, check for any of the following signals:
a. The price is below the 21 period EMA (dark orange or red).
b. The 14 period moving average (magenta or purple) is below the 21 period
moving average. This indicates that the trend is a downtrend on the 15 Minute
timeframe. At times, I also use 5 and 8 period moving averages. They should be
below the 21 period moving average too.
c. The ADX is sloping up and is above the 30 level. This indicates that the
downtrend momentum is gaining strength.
d. The trendline indicator is slanting down. This also indicates that the trend is a
downtrend on the 15 Minute timeframe.
2. Go to the 1 Minute chart and check for the following signals:
a. The trendline indicator is slanting down, which indicates that the trend is a
downtrend.
b. The ADX is sloping up or is above the 30 level.
3. Enter a sell trade on the 1 Minute chart when any one of the following conditions
occur:
a. The price breaks a support level or a previous swing low on the 1 Minute or 15
Minute timeframes.
b. The price bounced off from the upper trendline on the 1 Minute or 15 Minute
timeframes.
c. The price pulled back to the 21 EMA or a shorter period EMA on the 1 Minute or
15 Minute timeframes.
2. Set the stop loss level 30 pips above the price, or above the previous high. Move the
stop to the entry price (breakeven) at 5 pips profit.
3. Exit the trade at a profit of 5 pips or more.
Pink Scalping
  
In this example, the trendlines on both 1 Minute and 15 Minute timeframes are going
downward indicating that the main trend is a downtrend.
After rejecting from an upper trendline, the price had crossed under the EMAs. The
EMAs are also beginning to form a downtrend.
The ADX is going up in the 1 Minute timeframe while it is already above 30 level in the
15 Minute timeframe. I entered a sell trade and set the stop loss level above the
previous swing high. As soon as the trade reached 5 pips in profit, I exited the trade.

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Rabu, 11 Mei 2016

Trading on the Break the Bull Ride news trading - forex market hours new zealand

Trading on the Break the Bull Ride news trading ~ forex market hours new zealand


In this version of the news trade, the idea is to get into the trade as soon as the data release breaks. The trader needs to have the ticket ready to go and jump in. The risk here is of a whipsaw, where the price reverses.
This risk is not as high as people think because when the news breaks, there is maximum energy and the market will respond. The risk of no surprise does occur and that results in a small move, causing the risk of smaller losses than a whipsaw because essentially the price doesn’t move beyond a previous range and there is little room for profits. But if you’re on the bull or bear trade and it is a big move, you have the same challenge ofwhen to get out. The advantage is that you are not immediately wrong.
Trading on the Break (the Bull Ride news trading)
Trading on the Break (the Bull Ride news trading)

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Minggu, 08 Mei 2016

Indicele dolarului reacționează la 180 de zile - canadian forex trading platforms

Indicele dolarului reacționează la 180 de zile ~ canadian forex trading platforms


Box Gann de 180 de zile si 720 de pips pe indicele dolarului
Indicele dolarului american a ajuns ieri în zona de ofert? major? exact pe zona de vibra?ie timp de 180 de zile.
În imaginea de mai sus putem s? observ?m c? indicele a reac?ionat exemplar pe vibra?iile de 45 de zile, 90 de zile, 135 ?i acum la 180 de zile, unde a realizat minimele ?i maximele majore.
Box-ul Gann este unul de 720 de pips 180 de zile de tranzac?ionare.

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Jumat, 06 Mei 2016

Simple Day Trading Breakout - forex market times gmt

Simple Day Trading Breakout ~ forex market times gmt


Simple Day Trading Breakout is a strategy can be implemented as a full trading system and best of all is that you can use it even if you just can trade 10 minutes a day. The best period to use this strategy is between 8h and 18h GMT (3am and 1pm EST).
We can use this strategy only for EUR/USD and for GBP/USD. Since the rules for each of these currency pairs are different, I’m going to divide this strategy rules for each currency pair.
The first thing you need to do is to draw 2 lines: one at 24h GMT (7pm EST) and the other one at 8h GMT (3am EST). These lines are going to be our entry point’s reference.
If during this period EUR/USD has moved more than 60 pips, you won’t have any trade during the day. If EUR/USD has had less than 60 pips volatility during this time span, you can have a buy or a short sell opportunity.
In this strategy, we will use a fixed stop loss as well as a fixed target.That’s why you can use this strategy as a mechanical trading system.If at 18h30 GMT (1:30pm EST) you’re still holding the trade becauseit didn’t reach your target or your stop loss, you should exit thetrade.
This strategy can be used in 5, 10 and 30 minutes as well as in 1 hour charts.

Trading rules Simple Day Trading Breakout
To enter in a long position: You should enter your buy order 10 pips above the higher line - that you draw in the chart -, which represents the higher price EUR/USD achieved between 24h and 8h
GMT (7pm and 3am EST). You should also place a 25 pips stop loss order.
To exit a long position: Your target is 40 pips. If EUR/USD doesn’t reach it, you should exit the trade at 18h30 GMT (1:30pm EST).
To enter in a short sell position: You should enter your short sell order 10 pips below the lower price achieved between 24h and 8h GMT (7pm and 3am EST). You should also place a 25 pips stop loss
order.
To exit a short sell position: Your target is 40 pips. If EUR/USD doesn’t reach it, you should exit the trade at 18h30 GMT (1:30pm EST).
Simple Day Trading Breakout

Simple Day Trading Breakout
Simple Day Trading Breakout






























The short sell order was triggered at 1.4286. You now have a stop loss set at 1.4311 and a target at 1.4246. Our target was reached. We made 40 pips profit on this trade.

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Quantum Trading - forex market hours gmt mt4 indicator download

Quantum Trading ~ forex market hours gmt mt4 indicator download


Most new trading just doesn’t like to wait for a complete and perfect trade to take place. These types of short term traders would be very happy to get into multiple trades per day for 10+ pips profit for each trade. Rather than opening one trade per day and wait until price hits the 100+ pips target.
Momentum trading or short term system is the best forex trading strategy that they can use. But with the Quantum system we are also going to include medium term or long term trading as well. The reason for that is while short term trading is the favorite strategy for new traders, they won’t be beginners forever! And soon they will feel the need to trade more professionally for larger profits.
And instead of looking for another trading system, you will find long term trading strategy within this system as well as the momentum – short term – strategy.
hort term trading…
Best to be used with 5M , 15M , 30M and 1H time frames.
Trading rules:
When the 24 EMA cross above the 124 SMA, wait until a blue bar is formed above or below the 0 line of the A.O indicator – best if it’s above the 0 line. When that happens, open a BUY Order and set your stop loss at the last support level or 75 pips.
Your exit sign would be a red bar formed above or below the 0 line of the A.O
indicator.

Example:
Quantum trading
The opposite conditions are used for sell orders.
When 124 SMA cross the 24 EMA, wait until a new red bar is formed above or below the A.O indicator. Best if it’s below the 0 line. When that happens, open a sell order and set your stop loss at the last resistance level or 75 pips.
Your exist sign is when a new blue bar is formed above o below the 0 line of the
A.O indicator.
Example:
Quantum trading

Long Term Trading
For long term trading we are going to apply almost the same rules with few changes.
For sell orders, only sell when the red bar is formed below 0 line + 124 MA cross
above 24 MA.
And only exit when a blue bar is formed above the 0 line + 24 MA cross above 124 MA.
Example:
Quantum Trading - momentum strategy
Quantum Trading - momentum strategy
Notice how with this strategy you could get a lot more profits, if you can wait! And for buy orders, only buy when the blue bar is formed above 0 line + 24 MA cross above 124 MA.
And only exit when a red bar is formed below 0 line + 124 MA cross above 24 MA.
Example:
Quantum trading - Momentum Strategy
Quantum trading - Momentum Strategy

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Kamis, 05 Mei 2016

The High Low Breakout - forex market hours mt4 indicator

The High Low Breakout ~ forex market hours mt4 indicator


The High/Low Breakout is a forex strategy intraday based on the break of the previous day high or low.
Time Frame H1
Currency pairs: majors.
Indicator:
ADX 14 period with 35 level.

Trading Rules The High/Low Breakout
Buy
1. Find a currency pair with ADX is less than 35 but above 25.
2. Wait for the price to break below the previous day’s low by at least
15 pips.
3. Place an pending order price to buy 10 pips above the previous day’s high.
4. After that order fill, place your initial stop no more than 25 pips below the entry point.
5. Profi target 30-40 pips or exit postition at end of the day.

Sell
1. Find a currency pair whose 14-period ADX is less than 35 but above 25.
2. Wait for the price to break above the previous day’s low by at least
15 pips.
3. Place an pending order to sell 10 pips below the previous day’s low.
4. After that order fill, place the initial stop no more than 25 pips above
the entry point.
5. Profi target 30-40 pips or exit postition at end of the day.

In the examples we have two trading on GBP/USD hourly charts, all conditions are agree.
ADX 14 is below 35 level at the previous day High/Low.
First Example
Previous day low 1,5835. We look for a break below the previous day low. - Pending order 1,5835 -10 pips= 1,5825. Place stop loss of 25 pips. Profit Target 30 pips.
The High/Low Breakout















Second Example
Previous day high 1,6096. We look for a break below the previous day low. - Pending order 1,6096+10 pips= 1,6106. Place stop loss of 25 pips. Profit Target 30 pips.
The High/Low Breakout
The High/Low Breakout

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Rabu, 04 Mei 2016

Aurul gata de short - forex trading platforms reviews

Aurul gata de short ~ forex trading platforms reviews


Dupa o perioada de depreciere masiva, aurul a realizat o structura corectiva. Dupa cum se poate vedea in graficul nostru de 4H, aurul a realizat o candela tip shooting star exact sub nivelul de rezistenta al canalului de pret peste unghiul de 45 de grade la 1.618 extensie din B. Exista un grad foarte ridicat de probabilitate ca aurul sa inceapa aici o miscare descendenta catre 1040. Ne pregatim de short cu un prim target pe suportul canalului de pret.

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