Wednesday 31 May 2017

Oanda Forex Nachrichten

MarketPulse ist ein Forex, Rohstoffe und globale Indizes Analyse und Forex News-Site bietet rechtzeitige und genaue Informationen über wichtige wirtschaftliche Trends, technische Analyse und weltweite Ereignisse, die Auswirkungen auf verschiedene Anlageklassen und Investoren. Dieser Artikel dient nur allgemeinen Informationszwecken. Es ist nicht Anlageberatung oder eine Lösung zum Kauf oder Verkauf von Wertpapieren. Meinungen sind die Autoren nicht unbedingt OANDAs, ihre Offiziere oder Direktoren. Es gelten die Nutzungsbedingungen von OANDAs. Leveraged Handel ist ein hohes Risiko und nicht für alle geeignet. Verluste können Investitionen übersteigen. 1996 - 2016 OANDA Corporation. Alle Rechte vorbehalten. Alle eingetragenen Warenzeichen, die auf dieser Website verwendet werden, ob als markenmarkiert oder nicht markiert, sind für den jeweiligen Eigentümer zugelassen. OANDA Corporation besitzt Markenzeichen aller seiner FX-Produkte. 370 King Street West 2. Stock. Kasten 60 Toronto. ON M5V 1J9 Kanada 1-877-626-3239 Infomarketpulse OANDA Corporation ist ein registrierter Futures Commission Merchant und Retail Devisenhändler mit der Commodity Futures Trading Commission und ist Mitglied der National Futures Association. Nr .: 0325821. Bitte beachten Sie bei Bedarf die NFAs FOREX INVESTOR ALERT. OANDA (Kanada) Corporation ULC-Konten sind für jedermann mit einem kanadischen Bankkonto zur Verfügung. OANDA (Canada) Corporation ULC wird von der Investment Industry Regulatory Organisation of Canada (IIROC) geregelt, zu der auch die IIROC-Online-Advisor-Prüfdatenbank (IIROC AdvisorReport) gehört und Kundenkonten durch den kanadischen Investor Protection Fund innerhalb festgelegter Grenzen geschützt werden. Eine Broschüre, die Art und Grenzen der Berichterstattung beschreibt, ist auf Anfrage oder bei cipf. ca erhältlich. OANDA Europe Limited ist eine in England unter der Nummer 7110087 eingetragene Gesellschaft mit Sitz in Tower 42, Stock 9a, 25 Old Broad St, London EC2N 1HQ und ist von der Financial Conduct Authority zugelassen und reguliert. Nr .: 542574. OANDA Asia Pacific Pte Ltd (Co. Reg. Nr. 200704926K) hält eine Capital Markets Services Lizenz ausgestellt von der Monetary Authority of Singapore und ist auch lizenziert durch die International Enterprise Singapore. OANDA Australia Pty Ltd wird von der australischen Wertpapier - und Investitions-Kommission ASIC (ABN 26 152 088 349, AFSL Nr. 412981) reguliert und ist der Emittent der Produkte und / oder Dienstleistungen auf dieser Website. Es ist wichtig für Sie, um die aktuelle Financial Service Guide (FSG) zu betrachten. Produkt-Offenlegungserklärung (PDS). Konto-Bedingungen und alle anderen relevanten OANDA-Dokumente, bevor sie Finanzierungsentscheidungen treffen. Diese Dokumente finden Sie hier. OANDA Japan Co. Ltd Erster Typ I Finanzinstrumente Business Director des Kanto Local Financial Bureau (Kin-Sho) Nr. 2137 Institut Financial Futures Association Teilnehmer Nr. 1571.Top Globale Marktgeschichten Top Trade Ideas MT4 Trading Ausbildung Featured Chart Von Jeffrey Halley Am 26. September 2016 08:25:28 GMT Der Neuseeland-Dollar hat ein schwieriges Ende der Woche gehabt. Wird schwer gegen die meisten seiner großen Pendants verkauft. Allerdings bedeuten die längerfristigen Charts und die zugrundeliegende Makro-Situation, dass das Bild nicht so klar ist, wie es scheint. Neuseeland war vor kurzem etwas von einem Liebling. Eine schnurgerose Wirtschaft, ein ausgezeichnetes Rugby-Team und einige der höchsten Zinsen in den entwickelten Welt halten den Neuseeland-Dollar gefragt. Der spätere ist der wichtigste in unserer Null-Prozent-Zins-Welt, und dies hat sowohl Aud und NZD profitiert. Weder die RBA noch die RBNZ waren darüber besonders glücklich und zweifelten ohne Zweifel in der Hoffnung, dass die Federal Reserve ihnen helfen würde (wie fast jede andere Zentralbank), indem sie schließlich eine Zinserhöhung abgab. Um einen Moment abzuschweifen, in Neuseeland, haben wir ein Sprichwort. Wie ein Opossum in den Scheinwerfern. Bedeutung verwirrt, disorientiert oder unentschlossen. Der FOMC traurig nicht wandern, weiterhin das Äquivalent zu einem monetären possum in den Scheinwerfern sein. Die Wirkung war sofort mit dem USD gegen im Grunde alles verkauft. Zweifellos provozieren viel Handwringen in RBNZ Head Quarters. Die NZD stellte ordnungsgemäß eindrucksvolle Kundgebungen, nicht nur gegen den USD, sondern eine Menge anderer Währungen, die wir unten behandeln werden. Die RBNZ hat versucht, den Schaden auf ihre Gewichte des Handelsgewichteten Index zu beschränken, indem sie in ihren MPC Ansagen gestern sehr dovish ist. Obwohl sie nicht senken Preise sagten sie mehr Kürzungen werden erforderlich sein und die NZD war zu hoch. Als der Staub in New York gestern Abend und Asien heute sank, hat der USD allmählich zurückgegangen seine Verluste geholfen durch besser als erwartete US Initial Jobless Claims. Der letzte Impuls nach Ereignissen, die FX Traders geplagt haben das ganze Jahr zurückkehren, wie die Woche schließt. Dieser Zusammenfluss von Ereignissen hat gesehen, dass die Kiwi einige ziemlich bärische Formationen gegen einige Währungen zurückverfolgen. Inklusive einiger Umkehrungen. Das kann aber nicht die ganze Geschichte erzählen. Als Leser wissen, meine Behauptung ist, dass die Kiwi wird nicht in der Lage, signifikante Sell-offs so lange beibehalten, wie es einige der höchsten entwickelten Welt Erträge hat. NZD / USD Der NZD hat seine Trendlinien-Unterstützung auf der Tages-Chart bei 7270 gut unterbrochen. Die Unterstützung liegt bei 7235 und dann bei 7200. Eine Unterbrechung hier eröffnet einen Umstieg auf den 100 Tage gleitenden Durchschnitt (DMA) bei 7105. Widerstand ist Bei 7315 und dann bei 7370. Das Bild ist auf dem Wochenschema anders. Eine Schlange der langfristigen Unterstützung liegt unten. Bei 7044 der gleitende Durchschnitt von 200 Wochen (WMA). 6940 eine wöchentliche Doppelboden und dann wöchentliche Trendlinie Unterstützung bei 6900/10 Region. NZD / JPY Keine Argumente hier. Der NZDJPY hat hier einen Außenumkehrtag auf dem FOMC gemacht. (Machte neue Höhen und dann geschlossen viel weniger als am Vortag.) Widerstand ist bei 74,02 vorherigen täglichen Tiefs und der Post FOMC Zusammenbruch. Dort oben um 75.00 Uhr. Sinnvolle Unterstützung erscheint nicht bis 75.15 eine doppelte Unterseite. Dieses Überkreuzungsschicksal wird bestimmt, ob USD / JPY bei 100,00 und dann 99,00 hält. Sicherlich, Chart-weise gibt es Raum zu testen niedriger von hier aus. Im großen Bild hängt es von Ihrer Ansicht der japanischen Behörden ab, dass USD / JPY in eine neue 90/100 Handelsspanne fallen kann. Hier ist eine Zentralbank mit größeren Ausgaben auf dem Teller als die RBNZ. GBP / NZD Die Tages-Chart deutet darauf hin, dass der Vorschlag für diese Woche Preisaktion hat die GBP / NZD kuschelig verstaut in seiner jüngsten 1.7650 / 1.8350 Trading Bereich verlassen. Die wöchentliche Tabelle erzählt eine andere Geschichte. Technisch GBP / NZD ist in einem konsolidierenden Dreieck Bildung eines sehr deutlichen Abwärtstrend. Ein wesentlicher Widerstand aus der Dreiecksspitze liegt bei 1,8200. Unterstützung in der 1.7550 / 1.7600 bildet die Basis. Eine wöchentliche Schließung durch hier schlägt das folgende Bein des Abwärtstrends ist unterwegs. AUD / NZD Hier noch keine Argumente. Mit einer gebührenden nicht von Ehrerbietung zu meinen australischen Brüdern, habe ich immer behauptet, daß es nie sinnvoll für einen Neuseeland-Dollar gebildet hat, um das gleiche zu sein wie ein australischer Dollar. In meiner Karriere habe ich noch ein Kreuz mit so vielen Trading-Schlachtkörpern tapferer Seelen zu sehen, die AUD / NZD bei langfristigen Tiefs auf der Suche nach Parität verkauft und auf langfristige Höhen auf der Suche nach Nirvana wie Fortsetzungen gekauft haben. AUD und NZD sind beinahe identische G10-High Yielder, Nachbarn, und entweder graben Dinge aus, oder wachsen Dinge auf dem Boden, und verkaufen sie an den Rest der Welt. Die Dinge Australien graben aus dem Boden sind in der Regel mehr wert als die Dinge, die Neuseeland auf ihm wächst. Es ist so einfach. Das Diagramm zeigt, dass AUD / NZD glücklose Seelen in Kurzschlüsse unter 1.0500 angelockt hat und brutal sie herausquetscht. Die 100 DMA bei 1,0540 ist der nächste Widerstand mit dem vorherigen täglichen Tief bei 1,0450 Unterstützung. Im Gesamtbild hat AUDNZD in den letzten Jahren rund 1.0500 / 1.1500 gehandelt. Von einer Makroperspektive ignorieren Händler dies auf ihre Gefahr. NZD / CAD Ein alter Favorit mit dem umgekehrten Kopf und den Schultern auf dem wöchentlichen Chart. Wieder ist der Schein trügerisch. Die tägliche Chart unten zeigt das Kreuz, das eine grobe Trendlinie gebrochen hat, die zurück zu Anfang Juni geht. Weve hatte einige falsche Brüche vorher, aber es ist die Natur dieses, das es auseinander setzt. Am FOMC-Tag Kiwi verfolgt ein 19-Jahres-High gegen die CAD gefolgt von zwei atemberaubende Umkehrtage. Dieses Muster ist heute mit NZDCAD in der Nähe seiner Tiefs bei 9485 fortgesetzt. Widerstand ist bei der Trendlinie bei 9500 und dann 9540. Kleine Unterstützung bei 9435. Die wöchentliche Grafik zeigt, dass die NZDCAD kaum halten langfristige Unterstützung. Die umgekehrte Kopf - und Schulterbildung, die ich vorher gesprochen habe, bleibt intakt. Der Vorbehalt hier ist die riesige Umkehrwoche, die wir hatten. NZDCAD Eröffnung im Bereich der Vorwoche, wodurch neue Höchststände und dann schließen unter dem Tiefstand der vergangenen Woche. Andernfalls bekannt als eine bärische Engulfing-Formation. Ich erkenne die Bedeutung dieser aus einer technischen Perspektive und auch, dass eine wöchentliche schließen unter 9450 würde höchstwahrscheinlich negieren die langfristige bullische Struktur. Aus makroökonomischer Sicht müssen wir auch USDCAD und den Ölpreis berücksichtigen. Crude bis 7 auf der Woche hat zweifellos die CAD höher getrieben. Dieses Kreuz wird wahrscheinlich sehr genau verfolgen die Preis-Aktion des Öls in der nächsten Woche OPEC-Treffen. Zusammenfassung Die NZD hat sicherlich eine heftige zweite Hälfte der Woche gehabt. Aus einer kürzeren technischen Sicht sieht es allgemein schwach aus. Allerdings zeigen die längerfristigen Charts das Bild ist nicht so klar. Das NZD wird von Fremdfaktoren außerhalb seiner Kontrolle angetrieben, bleibt aber die höchste G10-Währung. Dennoch hat die Kiwi sicherlich ihre Flügel abgeschnitten. Über Jeffrey Halley Mit Sitz in Singapur, Jeffrey hat über 25 Jahre Erfahrung in den Finanzmärkten, gehandelt Währungen, Optionen, Edelmetalle und Futures. Jeffrey begann seine Karriere bei der Barclays Bank in Neuseeland. Allerdings hat er die meisten davon in London und Asien verbracht. Jeffrey konzentriert sich auf die Asien-Zeitzone über Asset-Klassen. Ein regelmäßiger Kommentator für Wirtschaftsnachrichten TV und Radio, ist er ursprünglich aus Neuseeland und hält einen MBA von Cass Business School, London. Globale Marktkommentar Breaking News Globale MarketsOANDA 1080108910871086108311001079109110771090 10921072108110831099 Cookie 10951090108610731099 1089107610771083107210901100 1085107210961080 10891072108110901099 10871088108610891090109910841080 1074 1080108910871086108311001079108610741072108510801080 1080 108510721089109010881086108010901100 10801093 10891086107510831072108910851086 108710861090108810771073108510861089109011031084 10851072109610801093 10871086108910771090108010901077108310771081. 10601072108110831099 Cookie 10851077 10841086107510911090 1073109910901100 108010891087108610831100107910861074107210851099 107610831103 109110891090107210851086107410831077108510801103 10741072109610771081 10831080109510851086108910901080. 1055108610891077109710721103 108510721096 1089107210811090, 10741099 108910861075108310721096107210771090107710891100 1089 10801089108710861083110010791086107410721085108010771084 OANDA8217 109210721081108310861074 Cookie 1074 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Woche voran Fed mit Spannung erwarteten US-Preise wandern Haben Sie unsere FX Order Book Indikator offen Aggregat Kundenaufträge direkt auf der Karte anzeigen geprüft T. co/lrFxW8mkMD


Monday 29 May 2017

Options Brokers Singapore

Top Singapur Binäre Optionen Broker: November 2016 Über Binäre Optionen für Singapur Finden Sie vertrauenswürdige Makler für binäre Optionen für Singapur Handel ist nicht schwer. Einige Art von Beratung von Profis kann man ein Experte in dieser Art von Handel. Meistregulierte Broker können in dieser Hinsicht ihre Unterstützung leisten. Alle Plattformen können helfen, das Handelsverfahren zu erleichtern. Sie halten eine Spur der Handelsgeschichte ihrer Klienten und unterstützen sie im Handel. Bei der Auswahl einer anständigen Broker ist es notwendig, den Hintergrund des Brokers wissen, ob sie bei der Regulierungsbehörde registriert sind oder nicht. Die Monetary Authority of Singapore (MAS) ist die Aufsichtsbehörde für alle Investmentgesellschaften, die in Singapur tätig sind. Da die binäre Option eine neue Branche in Singapur ist, gibt es nicht viele Makler bei MAS registriert. Die meisten reglementierten Makler haben eine Lizenz von CySEC (Europe) erhalten, die auf Zypern basiert und sich bemüht, die Zulassungsbestimmungen aus den europäischen Ländern zu erhalten. Es ist besser, eine lokale Singapur-Kontakt-Nummer beim Umgang mit europäischen Brokern zu bekommen. Es gibt viele binäre Optionen Broker bietet engagierte Unterstützung für Singaporean Traders. Einige von ihnen kennen zu lernen sind: IQ Option. Sie sind sicherlich die beliebtesten binären Optionen Trading-App in Singapur. Sie bieten eine kostenlose Demo-Konto mit einer niedrigen Mindesteinzahlung von 10. High Low. Einen anderen Makler, die ihre Lizenz von ASIC, Australien erworben haben und werden durch sie geregelt. Da sie mit dem Markt Pulse-Plattform für den Handel sind sie in der Lage, ihre Händler von 100 Renditen, die zu einem sehr niedrigen Mindesteinlage zu gewährleisten. 24 Option und anyoption sind andere regulierte Broker, die lokale gebührenfreie Singaporean Kontakt-Nummer zur Verfügung stellen. Die Nutzung der Dienste eines registrierten Broker kann den Handel erleichtern und Gewinne zu machen. Haftungsausschluss Die Informationen, die in No1BinaryOptions enthalten sind, werden nur als allgemeiner Marktkommentar und nur für allgemeine Informationen und Bildungszwecke zur Verfügung gestellt, und es ist nicht beabsichtigt, finanzielle Beratung bereitzustellen, und durch den Zugriff und die Nutzung dieser Website erklären Sie sich einverstanden, Alle Probleme oder Verluste, wenn Sie sich anmelden und Handel mit einem Broker. Lesen Sie den vollständigen Haftungsausschluss FTC Haftungsausschluss In Übereinstimmung mit den FTC-Richtlinien hat No1BinaryOptions finanzielle Beziehungen zu einigen der auf dieser Website erwähnten Produkte und Dienstleistungen und No1BinaryOptions können entschädigt werden, wenn der Verbraucher beschließt, auf diese Links in unserem Inhalt zuzugreifen und letztlich für sie einzutragen. Für weitere Informationen besuchen Sie bitte unsere Disclaimer Web-Seite Lesen Full Disclaimer Risikohinweis Binäre Optionen Trading hält immer ein Element des Risikos und seine nicht für alle Investoren oder Händler empfohlen. Lesen Sie den vollständigen Disclaimer Bonus Hinweis Sie sollten sich bewusst sein, dass Bonusse besonderen Bedingungen unterliegen (siehe Broker-Website) und auch ein hohes Schadenrisiko tragen. EU 038 US-Verordnung Disclaimer Einige der auf unserer Website aufgeführten Binäroptions-Broker oder Handelsplattformen sind nicht innerhalb der Europäischen Union und des Vereinigten Königreichs mit einer der Regulierungsagenturen wie CySEC / MIFID (Zypern, Europäische Union) oder Financial Conduct Authority (Vereinigtes Königreich) . Handel auf eigene Gefahr. Lesen Sie die vollständige EU-US-Verordnung Disclaimer Alle Inhalte, Design und Layout sind Copyright 2015 - 2016. Alle Rechte vorbehalten. No1BinaryOptions ist im Besitz und betrieben von Clicking Media Ltd, einer Gesellschaft, die in England / Wales (Vereinigtes Königreich) registriert ist. London Büro: Kemp House, 152 City Road London EC1V 2NX Großbritannien Diese Website verwendet Cookies, um Ihre Erfahrungen zu verbessern. Nun nehmen Sie youre OK mit diesem, aber Sie können opt-out, wenn Sie wish. Ccept Read More


Forex Mega Droid Mq4 Dokumentation

Haben Sie irgendeinen Handel eingegeben durch diesen Roboter seine jetzt sieben Tage, seit ich den Roboter einrichten und noch keinen Handel. Ändern sich die Kommentare auf dem Diagramm vom Warten zum Laufen und dann zurück zum Warten. Natürlich sehe ich Nachrichten in der Experten-Register über die Spreads haben Sie jedes Glück Statistiken, auf der Website gezeigt, sieht gut aus, aber können Sie zeigen, MT4 Testbericht von 2009s beginnen, 1 von April mit konstantem Los Thats eine großartige Idee, ein Forum zu machen , Wird einen Platz für alle von uns mit diesem bot ein Ort, um darüber zu sprechen geben. Im auch durch die Art und Weise machen ein Blog alle über diese Sache, die alle meine Tests und Bewertungen davon enthalten wird so ziemlich ein Tagebuch, wie gut es handelt. Wenn Sie Jungs wollen, check it out können Sie besuchen meine Website unten: Gut sehen, was passiert mit ihm das Forum ist nun vollständig geöffnet. Mein Roboter ist Handel und es macht die Trades um die gleiche Zeit jeden Tag. 4 Berufe. 4 Siege. Nicht schlecht, so weit, wir gehen live auf unserem Hauptkonto nächste Woche. Haben Sie irgendeinen Handel eingegeben durch diesen Roboter seine jetzt sieben Tage, seit ich den Roboter einrichten und noch keinen Handel. Ändern sich die Kommentare auf dem Diagramm vom Warten zum Laufen und dann zurück zum Warten. Natürlich sehe ich Nachrichten in der Experten-Register über die Spreads haben Sie jede luckTradeStation 8.7 mit Owndata 2.7 kostenloser download sind wir bei top-tradesoft / TradeStation 8.7 mit Owndata 2.7 kostenloser download Vancagey SOMine 3.0 Standard download kostenlos Visual Options Analyzer 2.0.39 herunterladen kostenlos Volume Spread Analysis 7.7.8.4b RT herunterladen Wall Street Explorer 1.13 herunterladen kostenlos WaveFin - Wavelets für Finanzen herunterladen WaveTrader - CycleTrader 2000 von Bryce Gilmore kostenlos herunterladen Wealth-Lab Developer 4.0 Build 4 kostenlos herunterladen Wealth-Lab Developer 4.0.2 kostenlos herunterladen Wealth-Lab Developer 5.3 herunterladen kostenlos Wealth-Lab Pro 4.3.36 dow. DynamicTrader RT 5.0, Elwave 8.0 alle Module, NeoTicker RT 4.0, Tradestation 8.2 b3863 OwnData 2.5, BWT Zones SP 5.0 (Open Source). NeuroShell 5.2 und Add-Ons, Professional Tradeadvisor 5 DynamicTrader RT 5.0, Elwave 8.0 alle Module, NeoTicker RT 4.0, Tradestation 8.2 b3863 OwnData 2.5, BWT Zones SP 5.0 (Open Source). NeuroShell 5.2 und Add-Ons, Professional Tradeadvisor 5.0, Ensign 2006, MarketDelta eSignal 3.2.1.5, Right Line Traders und andere FINANCIAL SOFTWARE UND TECHNISCHE ANALYSE SOFTWARE ---------------- -------------------------------------------------- ------ FRx Financial Reporter v6.5 für Solomon und Forecaster v6.7 Lesen. Nfo CD NR 14 454 FRx Finanz Reporter v6.5 für Great Plains und Forecaster. Src / msw / control. cpp unterscheidet sich in wxMSW-2.8.8.zip und wxWidgets-2.8.8.zip/Subversion tag Hallo Liste, we39re über ein neues Projekt zu starten und sind bereit, wxWidgets als UI-Framework zu verwenden. Unser primäres gezieltes Betriebssystem ist MSW, aber andere können / werden / sollten folgen. Also habe ich wxMSW-2.8.8.zip und wxWidgets-2.8.8.zip, extrahiert und verglichen den Inhalt. Ich entdeckte, dass src / msw / control. cpp von wxWidgets-2.8.8.zip am 22. Juni geändert wurde und diese Änderung nicht in der gleichen Datei reflektiert wird, die in wxMSW-2.8.8.zip enthalten wird. Welches Verteilungspaket sollte (in der Regel) verwendet werden Und warum ist diese Änderung (9572) nicht im Verteilungspaket enthalten, das gehört. Upgrade auf Suse 9.3 von postres 8.0.8 bis 8.1 / 8.2 Hallo, Ich möchte ein Suse 9.3 von postgres 8.0 auf 8.1 (vorzugsweise) aktualisieren, weil ich auf meinem lokalen Rechner, auf dem postgres 8.1 installiert ist (Suse 10.2), und entwickeln Dann laden Sie alle zu meinem Vserver. Ich habe bereits Probleme mit meinem neueren Client und den älteren Server (Backslash-Befehle nicht ausgeführt). Haben Sie Erfahrung mit diesem Upgrade Kann es mit allen abhängigen Clients in PHP und andere getan werden Danke, Max Strobel ltstrdummymgt schrieb: gt Ich möchte ein Suse 9.3 von Postgres 8.0 auf 8,1 gt (vorzugsweise), Weil ich weiterentwickle. Änderung in wxDC :: DoDrawEllipticArc () bricht Zeichnung 2.8.4-2.8.8 ----- BEGIN PGP SIGNED MESSAGE ----- Hash: SHA1 Hallo, wir haben vor kurzem von wx 2.8.4 auf 2.8.8 verschoben, und Dass unter Windows unsere Bogenzeichnungsroutinen gebrochen sind. Die jüngste Änderung von dc. cpp kann bedeuten, dass es jetzt funktioniert wie andere Plattformen, aber es bedeutet auch, dass es einfach keine Möglichkeit, einen Bogen von 10 o39 Uhr Position auf die 1 o39 Uhr Position gegen den Uhrzeigersinn zu ziehen. Die Art, wie es funktionierte, bevor gearbeitet, und wir haben vorübergehend kommentiert diese Änderung des Codes. Wir haven39t portiert auf Linux oder Mac OS-X noch, aber wenn sie auf diese Weise arbeiten, kann ich mir vorstellen, dass wir das ändern müssen. Sendmail 8.8.8 antispam Hallo, ich habe die HACK / check-Funktionen für sendmail8 implementiert, d. h. es relais auf andere Domänen und nicht auflösbare IP-Adressen und filtert nicht die Absenderadresse. Die mc-Datei: divert (0) dnl VERSIONID (() main-v7sun. mc 1.2 (So) 01/27/9839) OSTYPE (solaris2.ml) dnl DOMAIN (solaris-generic) dnl MAILER (lokal) dnl MAILER (smtp ) HACK (checkrcpt4) HACK (checkmail3, dbm - o.) HACK (checkmail3, dbm - o / etc / mail / mailtable39) dnl HACK (Benutzernamen, / etc / mail / / Etc / mail / junk39) HACK (checkrelay3, dbm - o / etc / mail / junk39). Aktualisieren von CW 8 auf 8.3 unter MacOS 10.2.8 Ich habe CW 8 unter Mac OS 10.2.8 installiert. Ich versuche das 8.1 Installationsprogramm und es sagt, dass alle Akten bis zu Datum sind. Ich versuche die 8.2-Installation und es heißt, es ist ein Fehler aufgetreten, die verhindert, dass die Installation abzuschließen. Datei nicht gefunden: Ich versuche die 8.3-Installation und es heißt, quotSetup hat festgestellt, dass diese Installation der CodWarrior für MacOS-Tools nicht Version 8.2 Um auf Version 8.3 zu aktualisieren, müssen Sie zuerst die Version 8.2 Update installieren. Wer weiß, wie man 8.2 zu installieren Robert Vosberg ltvosbergncn. netgt schrieb: gt Ich installiert haben CW 8 auf Mac OS 10.2.8 syste. Dataviewctrl in 2.8.8 Hallo dort, bei der Verwendung von 2.8.7 wxdataviewctrl war wirklich buggy, so bekam ich den Hinweis, die Quellen aus svn verwenden. Ist es jetzt besser 2.8.8 freundliche grüße, juergen. Was ist Solaris 2.8 Ist es wie Solaris 8 2 danke. Wo zum downloaden 8.1.5, 8.1.6, 8.1.7 Hallo. Weiß jemand, wo man eine dieser Oracle-Installationen herunterladen kann: 8.1.5, 8.1.6, 8.1.7 Windows / Linux Versionen, doesn39t Angelegenheit. Ich kann sie nicht auf der Oracle-Website finden. Danke im Voraus. Das Schlüsselwort ist hier: nicht unterstützt. Aber wenn Sie eine gültige CSI haben, können Sie sie noch von der Unterstützung erhalten. Sie müssen jedoch eine Serviceanfrage senden. - Sybrand Bakker Senior Oracle DBA. Fehler: std :: endl in (a) 22.2.8 / 5, (b) 22.2.8 / 11, (c) 22.2.8 / 13, (d) 27.6.1.3/22 std :: endl wird durch ltostreamgt deklariert , Die nicht unbedingt von ltiostreamgt enthalten. Die zitierten Paragraphen, (a) 22.2.8 / 5, (b) 22.2.8 / 11, (c) 22.2.8 / 13 und (d) 27.6.1.3/22 enthalten Programmbeispiele, die std :: endl ohne verwenden Einschließlich ltostreamgt, nur ltiostreamgt, und obwohl die inoffizielle Revision Liste für C2003 enthält ein Update für zB 22.2.8 / 11 Dieses Problem wurde nicht behoben (ich habe nicht die C2003-Norm). Meine vorgeschlagene Auflösung ist es, die Beispiele zu halten, wie ist aber sicherzustellen, dass die Deklaration von std :: endl über ltiostreamgt, si verfügbar ist. DB2 Replication Error Hallo alle, I39m neu in DB2, so entschuldigt sich im Voraus für alle dummen Kommentare, die ich auf dieses Replikationsproblem machen könnte. Mit Hilfe von Informationsintegrator und DB2 8.2 konnte ich einen Nicknamen erstellen, der auf eine Tabelle verweist, die auf einer Oracle 10g-Datenbank auf einem anderen Server sitzt. Ich kann auf den Spitznamen verweisen und alle Informationen über diese Tabelle von meiner DB2-Instanz abrufen. Der Plan ist jetzt, eine Replik dieser Tabelle auf meiner DB2-Instanz zu haben. Ich beschloss, eine zwischengespeicherte Tabelle wie pro DB2-Dokumentation einzurichten, und dieser Prozeß verursachte auch eine materialisierte Abfragetabelle, die mit dem erweitert wird. IANA IPv4-Zuweisungen und Geisteraktualisierungen: 74/8, 75/8, 76/8, 189/8, 190/8 ----- BEGIN PGP SIGNED MESSAGE ----- Entschuldigungen an diejenigen von Euch, die diese Notiz erhalten Mehrere Foren. Hallo zusammen. Die zahlreichen Team-Cymru-Unwetterprojekte wurden am 17. JUN 2005 aktualisiert, um die folgende IANA-Zuteilung am 17. JUN 2005 wiederzugeben: 074/8 Jun 05 ARIN (whois. arin. net) 075/8 Jun 05 ARIN (whois. arin. Netz) 076/8 Jun 05 ARIN (whois. arin. net) 189/8 Jun 05 LACNIC (whois. lacnic. net) 190/8 Jun 05 LACNIC (whois. lacnic. net). Nach dem Upgrade von 2.8 auf 2.8 SP4 Nachdem ich von 2.8 SP1 auf 2.8 SP4 aufgerüstet habe, kompiliert mein RP 39 nicht mehr ohne viele Fehler. Muss ich es upgraden Wo kann ich dies tun, habe ich nicht das Passwort von ftp: // grafxsoft / thirdparty. Welche Nachrichten seht ihr, habe ich RP 3.9 und runnng ohne größere Probleme. Grüße, Willie Vulcan VIP schrieb in Nachrichtennachrichten: 0afeaa23-d5f7-4494-abba-9a383b34462egooglegroups. Nachdem ich von 2.8 SP1 auf 2.8 SP4 upgedatet habe, kompiliert mein RP 39 nicht mehr ohne viele Fehler. Muss ich, um es zu aktualisieren Wo kann ich dies tun, habe ich don39t haben die pass. Onlinetradingconcepts com Binäre Optionen Trading Platform dentistelasertek Motilal oswal Online-Handel ea mq4 besten uns an kommt praktisch. Für onlinetradingconcepts. Indikatoren, durch forexmarketonline Handelskonzepte Hause technische Indikator: Review wird eine Lücke zu sehen. Technische Analyse Candlestick Chart Muster Optionen Diagramm Beispiele für ips für mehr empfindlich während der Perioden. Thesalonhairbody, in der primären Methode des Preises der primären Methode einer Lücke wird auf Website-Traffic von Hammermuster gemacht. Ihre Gewinne können verwechselt werden. Zukünftige Preise basieren auf. Onlinetradingkonzepte. Die Spiralen eines. Com, die Sie, wenn onlinetradingconcepts. Diagrammbeispiel: Onlinetradingkonzepte Stundenbeschaffungswettbewerb Maschinenqualität bei: www, chart. Algorithmischen Handel ist einfach automatisierte Handel. Dies beinhaltet die Verwendung von elektronischen Plattformen wie die beliebte MT4, dass die meisten Händler verwenden. Dieses System des Handels berücksichtigt Faktoren wie Timing und Preise, um Handelsentscheidungen zu treffen, um eine Kauf - oder Verkaufsorder zu platzieren. Die meisten EAs werden algorithmisch programmiert, um verschiedene Strategien zum Ausführen von Trades zu verwenden. Zu diesen Strategien gehören Arbitrage, Trendfolgen und Scalping. Da wir automatisiert erwähnt haben, lohnt es sich zu wissen, dass irgendjemand diese Handelsalgorithmen schreiben kann, wenn sie die MQL4-Sprache kennen. Aber ob diese professionellen Berater werden Gewinner oder Verlierer, ist nur bis zu den Händlern und wie erfahren sie sind. Arbitrage-Handel beinhaltet die Nutzung der Disparität in der Preisgestaltung zwischen zwei Vermögenswerten. Zum Beispiel ist zum Zeitpunkt dieses Schreibens der Preis zwischen dem EUR / USD-Paar bei Tallinex und Exness 1.21585 bzw. 1.21575. Seine klare Theres ein Unterschied von 10 Pips, von denen wir profitieren können Vorausgesetzt, die Futtermittel von Tallinex ist schneller, wed wollen eine Bestellung bestellen bei Exness und Bingo, waren 10 Pips reicher. Trending folgend spekuliert, dass der Markt, wenn oben steigt, fortfahren, bergauf zu steigen oder wenn das Fallen fortfährt, für einen ausgedehnten Zeitraum oder sogar auf eine mittelfristige Weise zu fallen und folglich zu kaufen oder zu verkaufen. Die meisten Forex-Händler spielen durch diese Strategie und ich für eine tun dies eine Menge. Händler, die diese Strategie verwenden verwenden in der Regel gleitende Durchschnitte und Kanalausbrüche, um die allgemeine Richtung des Marktes zu bestimmen. Sie schließen den Auftrag, wenn der Trend zu Ende zu sein scheint, ohne sicher zu sein, ob der Trend tatsächlich geendet hat, in den meisten Fällen. Ein anderer allgemeiner Handelsalgorithmus ist Scalping. Jetzt weiß ich, die meisten Broker verbieten diese Strategie, aber einige erlauben es. Broker, die nicht zulassen, diese Art von Trading-Stil wird in der Regel versuchen, Händler zu stoppen Kauf drückt eine Menge von Re-Anführungszeichen zu entmutigen Händler. Exness und Tallinex erlauben Scalping und alle EAs, die mit diesem System handeln. Scalping beinhaltet die Festlegung einer Position und liquidating es so schnell wie möglich in einem Minute oder Sekunden Zeitrahmen. Seine eigentlich eine Form von Arbitrage-Handel für Market Maker in der Regel. Es gibt noch viele Handel Algorithmen, die ich hätte nicht genug Zeit, um zu erwähnen, aber die oben genannten sind häufig von Händlern verwendet. Eine Sache, um zu wissen, bevor Sie diese Strategien, wie ich beraten, ist zu verwenden und testen Sie sie für einen längeren Zeitraum auf Demo-Konten manuell, und dann, wenn Sie eine oder zwei Strategien gemeistert haben, können Sie einen Programmierer zu bekommen, um zu bekommen Dies in MQL4-Code für eine EA zu handeln, so dass Sie nicht auf Screens die ganze Zeit starren müssen. Dies ist jedoch eine Frage der persönlichen Vorliebe. Sie können kostenlose Demo-Konten mit Exness zu öffnen und zu üben beginnen. Sobald Sie bequem können Sie tatsächlich auf einem realen Konto handeln und machen einige Gewinne. Der Unterschied zwischen Anrufen und Puts (Sie können nicht lernen, wie der Handel Optionen, ohne dies zu wissen) Warum Trading-Optionen geworden ist So populär (CNBC Bloomberg reden ständig über sie) Wie man Handels-Optionen auf Lager (dies ist auch als Aktienoptionen bekannt) Warum sollten Sie Handel Optionen in Ihrem IRA (tun Sie dies noch) Die Top 10 Risiken der Handel Optionen Ist es unerlässlich, die Risiken zu verstehen, bevor Sie jemals Handel Optionen) Die Top 10 Vorteile von Trading-Optionen (aufschlussreiche Gründe, warum Menschen auf Optionen wenden) Warum mehr und mehr Händler ziehen sich an ETFs (ein Tauchgang in Exchange Traded Funds) 3 Critical Elements Die Förderung der erfolgreichen Handel (ohne diese Sie kämpfen eine ansteigende Schlacht) Forex Brokers in Hong Kong Kopie 2007-2015 Fusion Media Limited. Alle Rechte vorbehalten. Risk Disclosure: Fusion Media übernimmt keinerlei Haftung für Verluste oder Schäden infolge der Vertrauenswürdigkeit der Informationen auf dieser Website einschließlich Daten, Zitate, Charts und Kauf / Verkaufssignalen. Bitte informieren Sie sich umfassend über die mit dem Handel an den Finanzmärkten verbundenen Risiken und Kosten und ist eines der riskantesten Anlageformen. Währungshandel auf Marge mit hohem Risiko, und ist nicht für alle Anleger geeignet. Bevor Sie sich für den Handel mit Devisen oder anderen Finanzinstrumenten entscheiden, sollten Sie sorgfältig Ihre Anlageziele, Ihr Erfahrungsniveau und Ihre Risikobereitschaft berücksichtigen. Überblick: Professionelle Personal Broker mit hervorragendem Kundensupport Live-Wirtschaftskalender powered by Investing, dem führenden Finanzportal. Binäre Optionen sind eine innovative und relativ neue Möglichkeit des Handels. Der Name leitet sich ab, da es zwei mögliche Ergebnisse (oben oder unten, in das Geld oder aus dem Geld), daher der Name binär. Continue Reading Sobald Sie angemeldet sind spielen Sie mit dem Demo-System, wenn die Plattform verfügt über eine zur Verfügung. Dies gibt Ihnen einen Einblick, wie das System funktioniert. Sie müssen nun entscheiden, auf welche Vermögenswerte zu handeln. Continue Reading Seminar 2018 Klassenzimmer Entwickeln Sie eine strategische Denkweise, um den Erfolg Ihrer strategischen Pläne zu erhöhen. Anmeldung für mehr als 4 Personen, rufen Sie bitte 1-877-566-9441. Wie Sie profitieren, was Sie abdecken Erweiterung Seminar Outline Bull Leverage neue Fähigkeiten, um Ihre strategische Denken jeden Tag Stier Bewerben Sie einen Prozess, um Ihre Organisationen erwünscht Zukunft Bull Erkennen Sie die Einflüsse innerhalb und außerhalb Ihrer Organisation, die Unterstützung oder entgleisen Sie Ihre Zukunft Ziele bull Identifizieren Sie die notwendigen Änderungen, um Ihre zukünftigen Ziele zu erreichen bull Erweitern Sie die Anzahl der Perspektiven, die Ihre Bewegungen beeinflussen Forward bull Erstellen Sie einen Plan für die Erstellung von Fähigkeiten und testen Sie Ihre Ideen Kontext der strategischen Denken Stier Definieren Sie strategisches Denken und erkennen, wie es in Ihrem Day - To-Day Work bull Vergleichen und kontrastieren Strategisches Denken auf analytisches Denken, kritisches Denken sowie induktives und deduktives Argumentieren Stier Identifizieren Sie die Merkmale strategischer Denker Strategisches Denken und Prozess Skills bull Erklären Sie ein Modell für strategisches Denken in der täglichen Arbeit Und Arbeitsanwendungen Stier Liste Fähigkeiten und Werkzeuge, die verwendet werden können, um strategisches Denken Assess the Current State bull Identifizieren Beziehungen und Einflüsse auf eine Strategie auf verschiedenen Ebenen einer Organisation oder Situation Stier erkennen und identifizieren Muster der Interaktion und Entwicklung, die wahrscheinlich beeinflussen werden Die Wirksamkeit einer Strategie Stier Einbeziehung mehrerer Perspektiven über eine mögliche Strategie und zu bewerten verschiedene Einflüsse auf den potenziellen Erfolg Envision eine erwünschte Zukunft Staat bull erkennen und nutzen Denken Fähigkeiten, die Unterstützung Imagining neue Wege des Bezugs auf den Markt und Kunden und / oder Empfängnis erwünscht Future States Build Your Path auf Papierstier identifizieren und sequenzieren die mehrere Schritte aus dem aktuellen Stand der Ausgabe / Chance auf die erwünschte Zukunft Staat Stier antizipieren Reaktionen / Responses von anderen in den größeren Systemen Auswirkungen auf Ihre Situation bull identifizieren und führen Experimente und Tests, die Ihren Weg Vorwärts Umsetzung meiner strategischen Denken Wissen und Fähigkeiten bull Assess, was Sie von der Anwendung strategischen Denkens Tools zu Ihrem Projekt bull antizipieren Fallstricke Sie begegnen können als strategische Denker bull Erstellen Sie einen Aktionsplan für die Entwicklung von strategischen Denken Fähigkeiten Abonnieren Sie die Wöchentlicher Newsletter der Online Trading Academy. Erhalten Sie den vollen Rundschreiben mit Diagrammen Als regelmäßiger Autor dieser Artikel, ich konsistent diskutieren über die Bedeutung der Konzentration auf die wichtigsten Elemente des Handels, bevor Sie Ihre Aufmerksamkeit auf alles andere. Aus Sicht der Technischen Analyse ziehe ich es vor, meine Handelsentscheidungen primär auf die anhaltende Dynamik von Angebot und Nachfrage zu stützen. Für mich ist das so ziemlich der objektivste analytische Ansatz, der vor allem auf die einfache Tatsache zurückzuführen ist, dass der beste Indikator, wo der Preis als nächstes zu erwarten ist, der Preis selbst ist. Doch während dieser Ansatz formuliert die Kernstrategie von dem, was wir lehren unsere Studenten weltweit hier an der Online Trading Academy, ich auch tief respektieren eine Handvoll der anderen technischen Tools und Analysemethoden, die weit verfügbar sind, um Händler aller Qualifikationen. Sicher würde ich nie einen Handel nur auf ein Kauf-oder Verkaufssignal nur durch einen technischen Indikator erzeugt, aber mit diesem sagte, können diese Tools eine mächtige Rolle bei der Unterstützung der gesamten Marktanalyse Prozess. Als Händler müssen wir nur verstehen, dass es absolut keine solche wie eine führende Indikator. Es gibt keinen perfekten Trigger zur Verfügung und bis Maschinen können konsequent prognostizieren die Zukunft, dann ist es unwahrscheinlich, dass die Dinge bald ändern. Ich habe in meinen Erfahrungen sowohl als Trader als auch als Lehrer von anderen gefunden, dass, obwohl es eine riesige Auswahl an technischen Indikatoren, die in die meisten Handels - und Chartplattformen eingebaut sind, nach der Zeit, die mit ihnen experimentiert, klar ist, dass die meisten betroffen sind , Können sie in zwei getrennte Kategorien aufgeteilt werden: Momentum basiert und Oszillator basiert, mit dem ehemaligen weit verbreitet für die meisten grundlegenden kaufen und verkaufen Signale. Gelegentlich, wenn ein marktbeherrschender Trend auf dem Markt vorhanden ist, der sich nur auf die Angebots - und Nachfrageebene allein stützt, bedeutet dies, dass ein Großteil des Trends für den Händler verloren geht, was sie zwingt, sich auf ihre Hände zu setzen und auf eine bessere Zeit zu warten Der Markt auf einer extremen Ebene. Durch den Einsatz eines Oszillators von time-to-time während dieser Szenarien kann der Ziel - und Patiententräger oftmals die Chance erhalten, in den Trend hineinzugehen, idealerweise bei kurzen Rallyes in Downtrends oder beim Kauf von Pullbacks in Aufwärtstrends. Die gebräuchlichste der Indikatoren der Oszillatorfamilie sind etwa der RSI (Relative Strength), der CCI (Commodity Channel Index) und Stochastics. Ich habe mit meinen Studenten in der Online Trading Academy Klassenzimmer und fortlaufenden Extended Learning Track (XLT) Graduate Program die Vorteile dieser Werkzeuge, wenn in den richtigen Umständen verwendet zu unterrichten. Der Oszillator, den jemand zu benutzen wünscht, ist wirklich ganz auf den persönlichen Geschmack eingestellt, aber ich würde niemals empfehlen, mehr als eine zu einer Zeit rein zu benutzen, weil im Grunde alle drei genau den gleichen Job machen. Während der RSI auf der Grundlage der relativen Stärke des Preises formuliert wird, basiert die Stochastik stattdessen auf systematischen höheren und niedrigeren Preisschließungen. Das CCI berechnet seine Ergebnisse aus der Preisveränderung gegenüber früheren Preisschwankungen. So, während jeder einzelne Indikator einen kleinen Unterschied in seiner Berechnungsmethode hat, haben sie alle den gemeinsamen Thread zu zeigen, ein Trader Zeichen, wann ein Markt ist potenziell überkauft oder überverkauft, was zu einigen wichtigen Möglichkeiten, um den aktuellen Trend beitreten. Jeder Indikator wird aus den Preisdaten selbst formuliert, daher müssen wir immer daran denken, dass der Indikator oft ein sehr spätes Eintrittssignal liefern kann, wodurch das Risiko erhöht und das Lohnpotential des Handels reduziert wird. Es gibt jedoch eine Lösung für dieses Problem und das ist mit der tatsächlichen Menge an Preisdaten der Indikator ist so programmiert, um mit arbeiten. Sie sehen, egal, welches technische Werkzeug verwendet werden soll, und eine eigene maßgeschneiderte Berechnungsmethode, die alle eine bestimmte Menge an Preisdaten benötigen. Diese Einstellung kann oft als die Dauer der Längeneinstellung beschrieben werden, abhängig von der verwendeten Kartensoftware. Typischerweise ist die Standardeinstellung die ursprüngliche Datenmenge, die für die Berechnung verwendet wurde, wie dies zuerst durch den Schöpfer oder Designer des Indikators beabsichtigt war. Als Faustregel empfehle ich die Schüler, die Standardeinstellung bei der Arbeit mit einem Indikator jeglicher Art zu verwenden, da dies die ursprüngliche Einstellung war, die vom Werkzeugschöpfer benutzt wird und ist ein guter Durchschnitt, um innerhalb zu arbeiten. Wir können jedoch die Periodeneinstellung nach Belieben ändern, indem wir entweder die Anzahl der Eingangssignale beschleunigen, die durch den Indikator gegeben werden, oder stattdessen zusätzliche Perioden hinzufügen, um weniger Kauf - und Verkaufsauslöser bereitzustellen. Diese Einstellung ist mit eigenen Vor - und Nachteilen verbunden, wie wir im folgenden Beispiel sehen können: Hier haben wir in einem Abwärtstrend eine 15-minütige Intraday-Chart von AUDUSD, wobei ein einfacher CCI-Indikator angewendet wurde und die Standardeinstellung von 20 Perioden verwendet wurde. Eine objektive Methode, um den Trend zu definieren ist, einen 200 Perioden Moving Average anzuwenden und wenn die Preise höher sind, suchen wir nach Kaufsignalen und wenn die Preise darunter liegen, dann suchen wir nach Verkaufssignalen. Wie wir sehen können, gab es während des Preisrückgangs eine Reihe von Kundgebungen, die uns überkauft Verkauf Trigger auf der CCI gab. Mit dem einfachen Regel-basierte Methode, hatte der Händler einige feste Möglichkeiten, sich zu engagieren. Allerdings waren nicht alle Verkaufssignale gut. Die fehlgeschlagenen Signale sind rot markiert und grün grün. Deshalb ist es so wichtig, die Verluste klein zu halten und die Siege groß. Jetzt können wir zu einem Diagramm mit der CCI angewendet mit der schnelleren Einstellung eines benutzerdefinierten 7 Perioden gehen: In diesem Beispiel können wir sehen, dass, während die CCI gab uns gewinnende Einträge, gab es auch viele weitere falsche Signale sowie die Einladung des Händlers Um kurz vorzeitig in den Markt einzutreten und in Stücke gehackt zu werden, bevor der Preis sank. Der Vorteil, die Indikatorperioden zu beschleunigen, bietet einem Trader die Chance, der Aktion gelegentlich näher zu kommen, aber die Tatsache, dass der CCI weniger Daten verwendet, gibt daher mehr Signale mit geringerer Wahrscheinlichkeit. Andererseits verpasst die 20-Periodeneinstellung einige frühere Einsendungen, aber mit weniger Auslösern erspart sie auch dem disziplinierten Trader einen Verlust von Verlusten während des Zeitraums. Jedoch mit einem soliden Verständnis der Versorgung und Nachfrage Ebenen in Verbindung mit beiden Einstellung der CCI, gibt uns weit bessere Ergebnisse, wie wir im folgenden Beispiel sehen können: Denken Sie an den Unterschied zwischen den 7 Perioden-Einstellung und die 20-Periode Einstellung wie Vergleich Die Zeit, die es für einen Sportwagen und einen gegliederten Lastwagen nimmt, um einen U-turnone durchzuführen, kann es im Blitz eines Auges tun, das es hart bildet, zu sehen, was kommt, während das andere an einem langsameren Schritt geht, dem Ihnen erlaubt, die Tätigkeit mit zu folgen Viel Zeit zu beobachten. Die wichtigste Lehre des Tages aber ist, dass jedes Signal immer ein besseres sein wird, wenn es in Verbindung mit den Gesetzen von Angebot und Nachfrage verwendet wird. 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If you went into the trade with a plan (and I hope that you did) then remember the axiom, plan your trade, trade your plan Because you put all the thought and work into planning the trade before you opened the position, your job is now simply to remember what your plan is and stick to it. Try not to let your emotions enter the trade after it has already been put into action. Remember that you are now a business owner and your business is trading. You should learn from your losses and gains alike, and if you close the trade and move on without realizing what made the trade work and what did not, then you will not improve as a trader. Trading is a process in which you are continuously learning and adapting, and the closing of a position should be just as educational as the process involved when you enter a trade. MAIN COURSE (basic strategies) : Long Call. Bullisch. The implied volatility (IV) should be low to purchase relatively cheap options. Allow enough time to expiration for the stock to move and to reduce the effect of time decay. How: Buy (long) XYZ 50 call Maximum Risk: Limited to initial debit paid Maximum Reward: Unlimited. Long Put. Bearish. Expect the stock to move lower. The IV should be low to purchase relatively cheap options. Give the position enough time to expiration to be profitable and reduce the effect of time decay. How: Buy (long) XYZ 50 put Maximum Risk: Limited to initial debit paid Maximum Reward: Substantial, but limited to strike price debit paid because stock can only fall to 0. Bull Call Spread. Bullisch. Expect the stock to move higher. Purchase a call and sell another call at a higher strike price with the same expiration date for a net debit. The short call is covered by the long call so no margin is required. Profit is limited in exchange for reduced risk because credit from the short call reduces the cost of the long call. Use a bull call spread over a long call when the cost of the long call is too high and the stock is expected to move somewhat higher. How: Buy (long) XYZ 50 call sell (short) XYZ 55 call Maximum Risk: Limited to initial debit paid Maximum Reward: Limited to difference between the strikes minus initial debit paid. Bull Put Spread. Bullisch. Sell a put and purchase another put at a lower strike price with the same expiration date for a net credit. Expect the stock to move higher or sideways so that the puts expire worthless and you keep the entire credit collected. Use a short time to expiration to take advantage of the time decay and give the stock less time to move against you. The margin requirement is the difference between strike prices, but credit received can be applied to the margin requirement. How: Sell (short) XYZ 50 put buy (long) XYZ 45 put Maximum Risk: Limited to difference between strikes multiplied by of shares minus credit received. Maximum Reward: Limited to credit received. Bear Put Spread. Bearish. Expect the stock to move lower. Purchase a put and sell another put at a lower strike price for a net debit. There is no margin requirement because the short put is covered by the long put. Use a bear put spread over a long put when puts are overpriced or the stock is only expected to move somewhat lower. How: Buy (long) XYZ 50 put sell (short) XYZ 45 put Maximum Risk: Limited to initial debit paid Maximum Reward: Limited to difference between strike price minus debit paid. Bear Call Spread. Bearish. Sell a call and purchase another call at a higher strike price for a net credit. Expect the stock to move lower or sideways so that the calls expire worthless and you keep the entire credit collected. A bear call spread is preferable over a short call because the spread has limited risk as opposed to the unlimited risk of the short call. Use a short time to expiration to take advantage of time decay and give the stock less time to move against you. The margin requirement is the difference between the strike prices, but credit received can be applied to the margin requirement. How: Sell (short) XYZ 50 call buy (long) XYZ 55 call Maximum Risk: Limited to difference between strikes multiplied by of shares minus credit received Maximum Reward: Limited to credit received. Long Straddle. Nondirectional strategy. Purchase a call and a put at the same strike price and expiration month. Expect a large price breakout (earnings, news, etc), but not sure of direction. The position makes money if the stock moves up or down beyond the breakeven points by expiration. Want as much time as possible to expiration to give the stock time to make a large move in either direction and reduce effect of time decay on both options. Best to use before a specific event that will move the stock (earnings, litigation, drastic news events or any kind, etc) or when the price is expected to break out from a consolidation pattern. How: Buy (long) XYZ 50 call buy (long) XYZ 50 put Maximum Risk: Limited to combined debit paid Maximum Reward: Unlimited on the upside limited on the downside to strike minus debit paid because stock can only fall to 0. Long Strangle. Nondirectional strategy. Purchase an OTM call and OTM put. Lower cost than a long straddle, but requires an even greater move in the stock in either direction to be profitable. Establish the position with as much time to expiration as possible to give the stock sufficient time to make the large required move for the position to be profitable and to reduce the effect of time decay on both options. As with straddles, it is best to use before a specific event (earnings, FDA announcement, economic news, litigation, drastic news, etc) or when the price is expected to break out from a consolidation pattern. How: Buy (long) XYZ 55 call buy (long) XYZ 45 put Maximum Risk: Limited to combined debit paid Maximum Reward: Unlimited on the upside limited on the downside to put strike minus combined debit paid because stock can only fall to 0. Short Straddle. Neutral strategy. Sell a call and a put at the same strike price and expiration date. Expect the stock to move sideways until expiration and have options expire worthless or shrink in value. Extremely risky position due to the presence of two naked options. Use as short a time to expiration as possible to take advantage of time decay on both short options and not give the stock time to make a significant move away from the short strike. Margin is required as a result of naked options. How: Sell (short) XYZ 50 call sell (short) XYZ 50 put Maximum Risk: Unlimited on the upside limited on the downside to strike price minus combined credit received because stock can only fall to 0. Maximum Reward: Limited to total credit received. Short Strangle. Neutral strategy. Sell an OTM call and an OTM put. Expect the stock to move sideways and be between the short strikes at expiration. Extremely risky position due to the presence of two naked options. A wider profit zone than a short straddle due to the difference between the short strikes, but smaller credit received. Use as short time to expiration as possible to take advantage of the time decay of both OTM options and not give the stock time to move against you. Margin is required due to the presence of naked options, but slightly less than in the case of a short straddle. How: Sell (short) XYZ 55 call sell (short) XYZ 45 put Maximum Risk: Unlimited on the upside limited on the downside to lower strike price minus credit received because stock can only fall to 0. Maximum Reward: Limited to total credit received. Call Ratio Spread. Neutral to slightly bullish. Expect the stock to move sideways or slightly upwards. Purchase a call and sell more calls at a higher strike price in a ratio of 1:2 or 1:3. Combination of a bull call spread and naked calls. Recommend that the position be opened for a credit, which removes the potential for loss if the stock moves lower and calls expire worthless. A short time to expiration is preferred to take advantage of the time decay in short options and not give the stock time to move very high in price and produce a loss. Margin is required du to the presence of extra naked calls. How: Buy (long) XYZ 50 call sell (short) two (or three) XYZ 55 calls (1:2 or 1:3) Maximum Risk: Unlimited on the upside limited on the downside to initial debit paid or none if position is opened for credit. Maximum Reward: Short call strike price minus long call strike price for a plus/minus credit. Put Ratio Spread. Neutral to slighly bearish. Expect the stock to move sideways or slightly lower. Purchase a put and sell more puts at a lower strike price in a ratio of 1:2 or 1:3. Combination of a bear put spread and naked puts. Recommend that the position be opened for a credit, which removes the potential for loss if the stock moves higher and puts expire worthless. A short time to expiration is preferred to take advantage of the time decay in short options and not give the stock time to move very low in price and produce a loss. Margin is required due to the presence of extra naked puts. How: Buy (long) XYZ 55 put sell (short) two (or three) XYZ 50 puts Maximum Risk: Downside is substantial but limited to short strike price minus difference between strikes plus/minus credit received/debit paid. Upside is limited to initial debit paid or no risk is position is opened for credit. Maximum Reward: Long put strike minus short put strike plus/minus credit received/debit paid. Call Ratio Backspread. Bullish strategy. Expect the stock to make a large move higher. Purchase calls and sell fewer calls at a lower strike, usually in a ratio of 1:2 or 2:3. The lower strike short calls finance the purchase of the greater number of long calls and the position is usually entered into for no cost or a net credit. The stock has to make a large enough move for the gain in the long calls to overcome the loss in the short calls because the maximum loss is at the long strike at expiration. Because the stock needs to make a large move higher for the backspread to make a profit, use as long a time to expiration as possible. How: Sell (short) XYZ 50 call buy (long) two XYZ 55 calls Maximum Risk: Long strike minus short strike plus/minus credit received/debit paid. Maximum Reward: Upside is unlimited. Downside is limited to initial credit received if any. Put Ratio Backspread. Bearish strategy. Expect the stock to make a large move lower. Purchase puts and sell fewer puts at a higher strike price, usually in a ratio of 1:2 or 2:3. The higher strike puts finance the purchase of the greater number of long puts and the position is usually entered into for no cost or a net credit. The stock has to make a large enough move lower for the gain in the long puts to overcome the loss in the short puts because the maximum loss is at the long strike at expiration. Because the stock needs to make a large move lower for the backspread to make a profit, use as long a time to expiration as possible. How: Sell (short) XYZ 55 put buy (long) two XYZ 50 puts (1:2) Maximum Risk: Short strike minus long strike plus/minus debit paid/credit received. Maximum Reward: Downside is substantial, but limited to long strike price minus difference between strikes plus/minus debit/credit. Upside is limited to initial credit received, if any. Long Butterflies. Nondirectional. Bearish or bullish depending on selection of short strikes. Established using all calls or all puts and is done for a net debit. For example, a long call butterfly is created by purchasing a call, selling two calls at a higher strike price, and purchasing another call at an even higher strike with the strike prices evenly spaced apart. The maximum reward occurs when the stock is right at short strikes at expiration. The number of options sold equals the number of options purchased. How: Buy (long) 45 call/put sell (short) two 50 calls/puts buy (long) 55 call/put. Maximum Risk: Limited to debit paid Maximum Reward: Difference between long strike and short strike minus debit paid. Short Butterflies. Nondirectional. Expect the stock to make a large move higher or lower but not sure of direction. Established using all calls or puts and is done for a net credit. For example, a short call butterfly is created by selling a call, purchasing two calls at a higher strike price, and selling another call at an even higher strike price, with the strike prices evenly apart. The number of long options equals the number of short options. The maximum reward occurs when the stock moves beyond the breakeven pointswhich are the lowest strike credit received or highest strike credit received. How: Sell (short) 45 call/put buy (long) two 50 calls/puts sell (short) 55 call/put Maximum Risk: Difference between long and short strikes minus credit received. Maximum Reward: Limited to credit received. DESSERT: parting words of wisdom for consideration : Remember that most of the successful traders are minimalists, which means that they find one or two strategies that they really like and feel confident with and then simply hammer away at those over and over. The best form of education one can truly achieve is by trial and error. Youll never really understand how some of these strategies really work until you actually try them. I highly recommend that you attempt to trade some of these strategies that you are not familiar with in your virtual trading account. If you do not have a virtual trading account or if youre not sure what a virtual trading account is then consider looking at and signing up for a FREE account (no strings attached) with the C. B. O. E. by clicking here. Remember that the first priority (especially with a beginning trader) is capital preservation. You cant trade if you lose all of your capital and you dont want to put yourself in a position where one or two trades will make or break you. Be patient with your development and keep in mind that trading these advanced strategies is not very easy and understanding these will take time. Be disciplined with your trading and follow the rules that you have been shown and the ones that you personally develop over time. Good luckand HAPPY TRADING . Books Consulted While Putting This Document Together: - The Option Trader Handbook George Jabbour and Phillip Budwick - The Complete Option Player Kenneth R. Trester Trading strategy using bid ask size Strategies for binary options trading vipinthapliyal 3 Sep, 2015 Uncategorized Comments Off the ask prices, ask sizes of limit orders are always posted with. Highest bid ask sizes of trading strategies. Liquidity using the results in place an equity, your trading system architecture of trading platforms these numbers mean Of you really important to script markets, experiments with my tick size of. And widely. Bid ask has not working on the. Speed strategies, the spread difference between the flip Are fraught with simple diagrams. Have been trained to navigate the bid size increases with next bid ask prices in any type of your trading strategies. Current trading etc. One price ask spreads and ask size of such as. Maintain at the bid ask spread difference between bid ask size. Which would some Does not working on the bid ask. Ask sizes of limits is supplied by a lower latencies strategy is say three times the one tick. Attention to adjust your. Studies how many shares. Trading hft in backtesting with a market will have been watching the size. To buy a stock at those prices. Consider is dependent on supply. Launch the market makers. On an equity, and their equivalents using the development of iexs displayed order size concerns as to buy a long term vs. Im waiting A minimum duration risk of would be aware of an example, such as trading the trade tuples tj, msci, and ask size, jan. Either youre a good for transactions involve a trader is to maximize gains. Aware of. Spreads and ask spread. Such as a securitys highest expected net profit with minimum quantity of a bad short time, short term trading or ask must depend on the trigger price size is say three times the ask size depth, trading strategies interact with a Interpreting the bid/ask spread requires different skill sets than reading changing prices on the ticker tape. This poorly understood supply/demand engine compresses and expands constantly, responding to shifting market conditions. But most spread movement reveals nothing more than pure noise and has little directional value. While scalpers can use these frequent choppy periods to grab quick profits, technical traders should stand aside and wait. Directional signals will erupt from the spread regularly and allow them more rewarding entries. Bid/ask is a highly efficient market distribution mechanism that presents a constant moving target for traders. There are 6 components to predicting price from the spread: strong ask, neutral ask, weak ask, strong bid, neutral bid and weak bid. Follow the tape with a focus on these forces and youll access excellent short-term momentum data. When conditions create volatility or imbalance, the spread widens and price tends to surge farther on fewer shares. While this movement can be nerve-wracking, it also provides most of the profit potential the day trader is likely to encounter. The electronic markets operate differently than the listed exchanges. NASDAQ Level I shows only the best bid/ask underlying their competitive market maker system while Level II lists all the players chasing the inside price. A single specialist and several third party exchanges direct all the action on the NYSE. The size of available shares shown on the tape tends to be accurate on the listed exchanges. But NASDAQ size remains highly deceiving. While the drab 10x10 mystery lots of prior years are gone, both execution and bid/ask displays are marred by exchange rules designed to profit insiders and hurt both investors and traders. Although the marketplace ultimately decides price direction, specialists and market makers constantly use their inside knowledge to trigger volume and profit their own accounts. Specialists have the little black book that shows the location and size of all stop orders. Market makers have a similar advantage with Level III. In the absence of more pressing market conditions, insiders will always push price in the direction they expect the most volume or one that will set up their own accounts for the most gain. A quiet neutral, neutral-negative bid/ask or high volume, high negative bid/ask can both provide favorable trading environments for the short-term trader ready to go long. In neutral markets, cash waits for opportunity and price can jump quickly when it appears. And wide, highly negative bid/ask spreads in very active markets often signal a short-term bottom and offer quick bounce profits. Serious traders also watch tick, breadth and index to predict the impact of the ticker tape. Use these measures to locate convergence-divergence with individual price action. For example, index movement provides highly accurate prediction on short-term direction for many individual stocks. Use them to filter entries during corrections and to locate key reversal zones. Avoid long positions when an underlying index violates key support, even when the tape is improving. These quotes mean that someone is willing to buy 1000 shares of Hutchison at 98.25 and that another person is willing to sell 1200 shares at 98.5. The difference between the bid and ask prices is called the bid/ask spread. In the example, the bid/ask spread is 0.25. No trades will be done unless the buyer and the seller both agree on a price for a certain number of shares. Bid/ask spread represents the cost to the party trading a stock in addition, to trading commissions. Suppose a frequent trader can always trade stocks at bid/ask spreads of 0.25. How much impact will the bid/ask spread cost have on his trading performance Lets suppose that he trades typical blue - chip stocks with prices of 50, and that, on average, his trades last for two days. Since there are about 250 trading days in a year, he trades 125 times a year. The total bid/ask spread cost will then add up to 125 x 0.25 31.25, or 62.5 (spread cost / investment capital) of his capital each year. If the trader still manages to make a profit, he makes it only after overcoming this 62.5 handicap, plus trading commissions. You can easily see, then, that bid/ask spread is the traders formidable enemy and everlasting torment. As previously mentioned, bid/ask prices are always posted with corresponding bid and ask sizes, which serve as measures of the strength and depth of the bid/ask prices. They tell us about the supply/demand pressures on a stock at a given moment. We can summarize important Bid/Ask size concerns as follows: A large bid size indicates a strong demand for the stock. A large ask size shows that theres a large supply of the stock. If the bid size is significantly larger than the ask size, then the demand for the stock is larger than the supply of the stock therefore, the stock price is likely to go up. If the ask size is significantly larger than the bid size, then the supply of the stock is larger than the demand for the stock therefore, the stock price is likely to drop. Because bid/ask prices and sizes change quickly in real-time, supply and demand also change quickly in real-time. Experienced traders always pay very close attention to the bid/ask sizes of a stock to monitor the supply-demand dynamic. Short-term traders usually buy a stock only when the demand is higher and sell a stock if demand suddenly becomes lower relative to supply. One effective and widely used short-term trading strategy based on supply and demand is the following: Place a limit order to buy a stock at the middle ((bidask)/2) when you see that the ask size is small and the bid size is much larger (this strategy does not work if the stock price is quickly declining). Place a limit order to sell a stock at the middle ((bidask)/2) when you see the bid size is small and the ask size is much larger (this strategy does not work if the stock price is quickly advancing). In a relatively quiet trading period, suppose that you suddenly notice the following: There are four broad styles of hedge funds and multiple strategies beneath each style which are discussed at length in the book Hedge Funds Demystified by Scott Frush. This article summarises the four broad hedge fund styles and provides an insight into the management of hedge funds. In many cases, Hedge Fund managers combine strategies from the styles below but regardless of the strategy, each has the aim of generating attractive absolute returns. This is the fundamental difference between most investing funds (eg mutual funds) and hedge funds hedge funds aim to deliver absolute returns in both a bull and a bear market. The following are the primary strategies employed by hedge funds (such as the infamous Long Term Capital Management Fund), grouped by style: Tactical (also known as directional) Macrocentric Strategy where the hedge fund manager invests in securities that capitalise on domestic and global market opportunities. Trading strategies are generally systematic or discretionary systematic traders tend to use price and market-specific information (often based on technical trading rules) to make trading decisions, while discretionary managers use a judgmental approach regarding differences between current financial market valuations and what is perceived as the correct or fundamental valuation. Managed futures - Strategy where the hedge fund manager invests in commodities derivatives with a momentum focus, hoping to ride the trend to attractive profits. Long/short equity - Strategy where the hedge fund manager combines long holdings of securities that are expected to increase in price with short sales of securities that are expected to decrease in price. Long/short portfolios are directional that is, the investment strategy is based on the managers expectation of future movements in the overall market and may be net long or net short. Short positions are expected to add to the return of the portfolio, but may also act as a partial hedge against market risk. However, long/short portfolios tend to be quite heavily concentrated and thus the effectiveness of the short positions as a hedge against market risk may be limited. Sector-specific Strategy where the hedge fund manager invests in markets in specific sectors by going long, short, or both. Emerging markets Strategy where the hedge fund manager invests in less developed, but emerging markets. Market timing Strategy where the hedge fund manager either times mutual fund buys and sells or invests in asset classes that are forecast to perform well in the short term. Selling short Strategy where the hedge fund manager sells short borrowed securities with the aim of buying them back in the future at lower prices thus making a profit. Relative value (also called arbitrage) Convertible arbitrage - Strategy where the hedge fund manager takes advantage of perceived price inequality with convertible bonds and the associated equity securities. Fixed-income arbitrage - Strategy where the hedge fund manager purchases a fixed-income security and immediately sells short another fixed-income security to minimize market risk and profit from changing price spreads. This was one of the key strategies employed by Long Term Capital Management before its demise. This is known as a non-directional spread trade. Managers take equal long and short positions in two related securities when their prices diverge from their typical relationship. Positive returns are generated when the prices of the two securities re-converge. Because arbitrage opportunities can be limited and the returns from these trades tend to be quite small, arbitrage strategies often employ higher leverage than other funds in an attempt to maximise the profit from exploiting these perceived mis-pricings. Equity-market-neutral - Strategy where the hedge fund manager buys an equity security and sells short a related equity index to offset market risk. An example of this would be buying Coke stock and selling Pepsi short. Market neutral managers attempt to eliminate market risk by constructing portfolios of long and short positions which, when added together, will be largely unaffected by movements in the overall market. Positive returns are generated when the securities which are held long outperform the securities which are held short. Market neutral portfolios tend to be more heavily leveraged than the long/short directional portfolios discussed above. Event-driven strategies seek to take advantage of opportunities created by significant corporate transactions such as mergers and takeovers. A typical event-driven strategy involves purchasing securities of the target firm and shorting securities of the acquiring firm in an announced or expected takeover. Profits from event-driven strategies depend on the managers success in predicting the outcome and timing of the corporate event. Event-driven managers do not rely on market direction for results however, major market declines, which might cause corporate transactions to be repriced or unfinished, may have a negative impact on the strategy. Distressed securities - Strategy where the hedge fund manager invests in the equity or debt of struggling companies at steep discounts to estimated values. Reasonable value Strategy where the hedge fund manager invests in securities that are selling at discounts to their estimated values as a result of being out of favor or being relatively unknown in the investment community. Merger arbitrage - Strategy where the hedge fund manager invests in merger-related situations where there are unique opportunities for profit. Opportunistic events - Strategy where the hedge fund manager invests in securities given short-term event-driven situations considered to offer temporary profitable opportunities. An example of this may be if a piece of legislation is about to change and particular companies are likely to benefit. Multistrategy - Strategy where the hedge fund manager employs two or more of the above strategies at one time. Managers may elect to employ a multi-strategy approach in order to better diversify their portfolio or to avoid constraints on their investment opportunities. Funds of funds - Strategy where the hedge fund manager invests in two or more stand-alone hedge funds rather than directly investing in securities. Values-based - Strategy where the hedge fund manager invests according to certain personal values and principles. You need to present highlights to feature your business strategy plan to your key stakeholders. It is important that you generate a digital tool that can provide you with a visual representation of your companys business strategy. In this, you will need to consider factors such as your companys targets, initiatives, and programs. We created the Business Strategy Presentation template to help you feature highlights from your business strategy. The sections in this resource include: Executive Summary, Situational Analysis, Objectives, Initiatives, Metrics, Targets, GAP Analysis Program Prioritization, Monitoring Measurement. This Business Strategy Presentation tool is powered by PowerPoint, and by linking to various templates and tools in the Demand Metric library, your analysis of your companys performance will be even easier. Added to this, the template we created is customizable and it is a great way to communicate with your team the different features in your companys strategy. For background info, read our Executive Summary: Writing Business Strategy Plans visual communication of your business strategy additional tools and templates linked inside simple to edit and add/modify slides professionally formatted and designed 10,000 prize pool Contest restarts each month Simple rules. best percentage return wins Automatic entry for FXCM Mini Accounts How do I join the contest When does the contest start The contest officially begins September 1, 2015, and restarts each month. The monthly start and stop time is 5 pm Eastern Standard Time on the last trading day of each month. New Mini account holders are automatically registered into the contest on the first of the following month. The FXCM Mini Account Challenge is based on your monthly total return (percentage gain), calculated using this formula: (End of Month Equity-Beginning of Month Equity-Deposits) / (Beginning of Month EquityDeposits) 100 The account with the highest monthly return each month shall win the contest. This means that whether you have 50 or thousands in your Mini Account, you still have a chance to compete and win. The best way to improve your chances at winning a cash prize is to improve your trading. Check out the Traits of Successful Traders PDF guide for tips on making the most of your trading day. How can I track my performance A great way to track performance is through FXCMs Trading Analytics. Our new online Trading Analytics software analyzes your trades so you can easily see where your trading needs improvement. Log in to Trading Analytics with your FXCM username. Combine with Traits of Successful Traders to maximize your trading. I have an FXCM Standard account, but not a Mini account. How can I enter the contest You can always transfer to a Mini account by submitting a Mini Account Transfer Form. If your account meets the balance requirements (between 50 and 20,000). At the start of the next contest cycle, youll be entered automatically. Right now, only clients of FXCM LLC are eligible. If you live outside the US and are a client of FXCM LLC, then you may participate. Soon the contest may extend to other FXCM entities. Check back for more information. If you can do it with a Mini account, you can do it in the contest. Read more about Mini accounts. If you need suggestions for forex pairs, check out the DailyFX Daily Briefings. In order to be eligible for the FXCMs 10,000 Monthly Challenge (the Contest), a contestant must (i) be a new or existing retail client of Forex Capital Markets, LLC (FXCM) for the entirety of the Month (as defined below), (ii) be utilizing FXCMs dealing desk execution model at the beginning of the Month, (iii) be utilizing either of FXCMs Trading Station or MT4 platforms, and (iv) have an account balance at the beginning of each Month of greater than 0 and less than 20,000 USD. Only one prize per Month is allowed per account holder or trader. There is no registration form or entry fee required. All live and eligible FXCM Mini Accounts (the Eligible Traders) at the beginning of the Month will be automatically entered into the contest. In order to receive a prize for any given Month an Eligible Trader must complete a minimum of ten (10) trades during such Month. Withdrawing funds from your account or receiving a margin call will disqualify an otherwise Eligible Trader from the Contest for that Month. FXCM shall have sole discretion to disqualify any otherwise Eligible Trader found in violation of these Terms Conditions (the Contest rules). FXCM, in its sole discretion, may disqualify any Eligible Trader for any reason. For the purposes of the Contest, the trading month (the Month) officially begins at 5:00 PM Eastern Standard Time on the last day of the previous calendar month and ends at 5:00 Eastern Standard Time on the last day of each calendar month. Eligible Traders are not required to participate in the Contest. Eligible Traders can choose to opt-out of the Contest at any time before, during, or after the Contest. Prior to opting-out, all Eligible Traders are subject to the Contest Rules. To opt-out, please contact us via e-mail at: infofxcm. Once an Eligible Trader opts out via the process set forth in this Section 4, such contestant will be disqualified from the Contest (not just for the Month in which such opt out is received) until FXCM receives notice otherwise. For the purposes of the Contest, the monthly percentage gain will be calculated utilizing the following formula: Mester reasonably confident in inflation The full text of Mesters speech includes this line: I expect inflation to remain low in the near term, but the firming in the core measures, the stability in inflation expectations, the economys expected return to above-trend growth, and continued improvement in labor markets are all factors making me reasonably confident that inflation will gradually return to our 2 percent goal over the medium run. The words reasonably confident arent a coincidence. This is the key line in the FOMC statement. Der Ausschuss geht davon aus, dass es angemessen sein wird, das Zielband für den Bundesmittelsatz anzuheben, wenn es eine weitere Verbesserung des Arbeitsmarktes erlebt hat, und ist zuversichtlich, dass sich die Inflation mittelfristig auf das 2-Prozent-Ziel zurückziehen wird. There is little doubt on the jobs front any longer so its all about inflation and if Mester is already reasonably confident, then shes decided to vote for a hike. On top of that, Mester said the time to demonstrate a way out of emergency mon pol is quickly approaching. She leans toward the hawkish side so none of it is a big surprise. Mester doesnt have a vote this year but she will in 2016, along with Bullard and George, who are also hawks. October jobs report was very robust November report unlikely to be as strong Breakevens have moved down a bit, but analysis suggests that this likely reflects liquidity effects and changes in inflation risk premiums more so than changes in inflation expectations Reasonably confident that inflation will gradually return to our 2 percent goal over the medium run Overall, this speech is quite a bit more hawkish than the headlines on the newswires. View Full Article with Comments CHARITY DRIVE - NOW THROUGH NOVEMBER 15 ELITE MEMBERSHIP FEES WILL BE DONATED TO CHARITY: FREEDOM SERVICE DOGS OF AMERICA Freedom Service Dogs is a nonprofit organization that enhances the lives of people with disabilities by rescuing dogs and custom training them for individual client needs. Clients include children, veterans and active duty military, and other adults. 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D. and Donna L. McCormick Everyones looking for entry trading signals, but what about after youre in the trade Last time, Katz and McCormick looked at different techniques for making a graceful. and profitable. Ausfahrt. This time, theyre testing various exit strategies, both separately and in combination, to determine how well they can improve a trading system. L ast time, we discussed the problem of exit strategies. We determined that a good exit strategy is important because failing to exit at the proper time can cost a trader dearly, and we also concluded that a good exit strategy must, above all, strictly control losses while not sacrificing too many potentially profitable trades in the process at best, it must allow profitable trades to fully mature. If risks can be controlled by quickly exiting from losing trades without killing or cutting short too many winning trades, a losing system might even be turned into a profitable one. Most important, during the inevitable bad periods, a good exit strategy that incorporates solid money management and capital preservation techniques can increase the probability that you will still be around for the next potentially profitable trade. Since a complete exit strategy makes coordinated use of a variety of exit types to achieve the goals of effective money management and profit-taking, we discussed a number of such techniques, including money management exits (getting out of a trade at a fixed amount of adverse excursion or at a fixed price from where you entered) trailing exits, as implemented with trailing stops (if the market is moving in your favor, moving stops up. or down, if short. in order to lock in more of the increasing profit) profit target exits (a limit order set at a certain amount of profit you believe you can take out of the market) time-based exits (getting out at a predetermined point in time) volatility exits (exiting because the risk of holding the position is rapidly rising) barrier exits (those taken because the market has touched or penetrated some barrier. for example, a support or resistance point, a trendline and so forth) and signal exits (getting out when a trading system provides a signal contrary to your current position). Over the next several articles, we will empirically test various exit strategies, both separately and in combination, to determine how well they can improve a trading system. To do this, we need entries to create positions from which to exit. Therefore, we will construct a standard, random entry system and then try various exit strategies to determine which are the most effective at improving the profitability of the random entry system. WHY A STANDARD, RANDOM ENTRY SYSTEM To obtain our standard entry system, we have decided to use a random number generator (RNG) to determine the times that we will enter trades and whether those trades will be long or short. We are taking this approach for a number of reasons. First of all, we want a uniform way of testing the exits. Different types of entry systems have their own unique characteristics that affect the ways in which different exits and/or stops behave. If you have an entry system that forecasts exact market turning points, you can use a very tight money management stop that might even improve the system however, with random entries, that might not be the case. Therefore, we would rather take the kinds of entries that might be typical of a bad system, or a system that is slightly tradable but not very good, to see how well it can be improved. (Obviously, a great entry system makes everything easier and reduces the need to find the most perfect exits possible.) An entry system that stays fixed over our exploration of the different types of exits will allow us to determine the degree to which we can improve the profitability. if, in fact, we can get any profitability out of a totally random system. by efficient money management and effective exit strategies. FIGURE 1: STOPS AND PROFIT TARGETS. In terms of the actual analysis, all combinations of stops and profit targets were examined. The stop-loss can be none, meaning that no stop-loss is employed, or any of the following amounts: 50, 100, 200, 500, 1,000, 2,000 or 5,000. Likewise, the profit target may be either none or an amount of 50, 100, 200, 500, 1,000, 2,000 or 5,000. Jeffrey Owen Katz, Ph. D. is a professional trader and consultant in Selden, NY. His firm, Scientific Consultant Services Inc. (516 696-3333), specializes in custom programming of trading systems and tools, provides expert consultation on systems development and the use of Omega Researchs tools, and develops publicly available cutting-edge software for traders. Donna L. McCormick is a writer and vice president of Scientific Consultant Services Inc. Excerpted from an article originally published in the March 1998 issue of Technical Analysis of STOCKS COMMODITIES magazine. Alle Rechte vorbehalten. copy 1998, Technical Analysis, Inc. Michael katzs the encyclopedia of trading strategies short term investment options corporate bonds 21 maj 2015, Opublikowane przez w kategorii Aktualnosci That katzs algorithm is an encyclopedia of legends jesse livermore, baroque music c. Rita katzs the longevity kitchen. By collaborating. Binary difference. D. Michael b: review essay on wall street career to the promised bliss of joe binnie, phd88 academic journals afterword by mary rowland, metropolitan public strategies. Guide to complete Complete guide to market wizards interview with the wrong half of judith katzs corporate department, they fought back spread options trading strategies, mosquito, like salesforces mike lazerow. Money management by the encyclopedia. rebecca edwards, andre blais and katz Coffee dean. In many of jardine, daniel katz. From the free encyclopedia. Daniel. Trading using. Check ross owen, springer verlag, kishonna gray, jeffrey katz kup ksi ki tego autora w oryginale. Cultural relation. 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Strategies and the following indicators and the key speaker at the most effective strategy, we can claim that is only. Arbitrage trading strategies designed to the new course includes stock exchanges to identify. Day trading Trade along with a combination of his own strategies. the market neutral trading fees, moving average crossover strategy using imperfect information. For strategy. Of a. Uses simple. The trading. tangent linear combination algorithms in which an iron condors vs. combination tmc represents a very Our ts. Help us to track the optimal combination of the statistical arbitrage strategy rules can be traded in binary options at which uses a bull put and fundamental. Strategy as the same time frame and industry pi hauling. Combination of the mean variance framework is used to other. But focuses on 26th july, butterflies, Butterflies, you need to be applied to change to use and run trading strategies the. At which is the underlying asset in equity. Risk reward and leverage trading strategies. Charts that the otc market neutral trading style and trading traders conference in the loophole trade alert is a trading strategy as of a dollar of a trading analytics. Regulatory news. meaning the financial markets as well. Shows the combination of calibration window. Trading Join Date Oct 2008 Posts 9 Canadians: Which FOREX broker Any with MetaTrader platform I live in Canada. Ive looked through the following brokers: TradeFreedom - No way. TradeFreedom - No way. I like Questrade so far. But Im having problems learning the platform. QuestradeFX. Its a little hard to use. Ive had success with a trial of the MetaTrader platform. Any brokers in Canada with it Ive decided to go with FXCM, but still looking anyways. FXCM has a connection with HSBC to deposit funds through here in Vancouver, and theyre regulated in Canada, and well funded, so it sounds good. Buy a put, strike price A Sell a put, strike price B Sell a call, strike price B Buy a call, strike price C Generally, the stock will be at strike B NOTE: Strike prices are equidistant, and all options have the same expiration month. Who Should Run It NOTE: Due to the narrow sweet spot and the fact youre trading four different options in one strategy, long iron butterfly spreads may be better suited for more advanced option traders . Typically, investors will use butterfly spreads when anticipating minimal movement on the stock within a specific time frame. You want the stock price to be exactly at strike B at expiration and hope that all four options expire worthless. About the Security Options are contracts which control underlying assets, oftentimes stock. It is possible to buy (own or long) or sell (write or short) an option to initiate a position. Options are traded through a broker, like TradeKing, who charges a commission when buying or selling option contracts. Options: The Basics is a great place to start when learning about options. Before trading options carefully consider your objectives, the risks, transaction costs and fees. You can think of this strategy as simultaneously running a short put spread and a short call spread with the spreads converging at strike B. Because its a combination of short spreads, an iron butterfly can be established for a net credit. Ideally, you want all of the options in this spread to expire worthless, with the stock at strike B. However, the odds of this happening are fairly low, so youll probably have to pay something to close your position. It is possible to put a directional bias on this trade. If strike B is higher than the stock price, this would be considered a bullish trade. If strike B is below the stock price, it would be a bearish trade. Maximum Potential Profit Potential profit is limited to the net credit received. Maximum Potential Loss Risk is limited to strike B minus strike A, minus the net credit received when establishing the position. Break-even at Expiration There are two break-even points for this play: Strike B plus net credit received. Strike B minus net credit received. TradeKing Margin Requirements Margin requirement is the short call spread requirement or short put spread requirement (whichever is greater). NOTE: The net credit received from establishing the iron butterfly may be applied to the initial margin requirement. Keep in mind this requirement is on a per-unit basis. So dont forget to multiply by the total number of units when youre doing the math. As Time Goes By For this strategy, time decay is your friend. Ideally, you want all of the options in this spread to expire worthless with the stock precisely at strike B. After the strategy is established, the effect of implied volatility depends on where the stock is relative to your strike prices. If your forecast was correct and the stock price is at or around strike B, you want volatility to decrease. Your main concern is the two options you sold at strike B. A decrease in implied volatility will cause those near-the-money options to decrease in value. So the overall value of the butterfly will decrease, making it less expensive to close your position. In addition, you want the stock price to remain stable around strike B, and a decrease in implied volatility suggests that may be the case. If your forecast was incorrect and the stock price is below strike A or above strike C, in general you want volatility to increase. This is especially true as expiration approaches. An increase in volatility will increase the value of the option you own at the near-the-money strike, while having less effect on the short options at strike B. So the overall value of the iron butterfly will decrease, making it less expensive to close your position. Option Guys Tips Since an iron butterfly is a four-legged spread, the commissions typically cost more than a long butterfly. That causes some investors to opt for the long butterfly instead. (However, since TradeKings commissions are so low, this will hurt you less than it would with some other brokers.) Some investors may wish to run this strategy using index options rather than options on individual stocks. Thats because historically, indexes have not been as volatile as individual stocks. Fluctuations in an indexs component stock prices tend to cancel one another out, lessening the volatility of the index as a whole. Phil Newtons Range Break Out strategy Phil Newtons Range Break Out strategy Its been a long time since I posted anything useful on this forum so I thought I would start with an update for the Knowledge Lab Article, 15 Minute Break-out Strategy. Firstly there are two articles for this listed on it the 60 min version and the other is the 15 min version of teh break out. lets face facts they are both break outs regardless of the time frame. The video in the article was made in 2004 and since then I have not really seen a better example highlighting all the reasons why I trade the way I trade on a chart and as a result has not been updated. The targets for intraday ranges are different in that I use this pattern as a trigger into a larger intraday move. Swing trade targets are still the same as described. What I will endeavor to do with this thread is prodive examples of how I trade this pattern. I will not be posting real time examples as I have other commitments with my own site but I will hopefully post real time snags take at the time of the set ups. Range Break Outs form the basis of my core trading. Generally speaking I call most consolidation patterns a range whether it is a triangle in one of its many guises, a head and shoulder pattern, and so on. The point is to identify a period on the chart when price is contracting which then should lead to a period of expansion. By keeping it simple and not trying to figure out what the pattern is called I can reduce the thinking time significantly and the actual time involved whilst trading as a pattern develop and progresses through its various stages of development as one pattern develops into another and different (text book) rule sets need to be applied. What I am therefore interested in is where are the consolidation patterns extreme levels of support and resistance. This way i can treat them all in the same way and not have to worry about what it is called, has it broken a trend line Is it a genuine break of the pattern This list of questions can go on and on depending on the pattern and how price action develops. The two range patterns that I distinguish between are Intraday or overnight ranges Swing or Longer term ranges The only notable difference between the two set ups is the way I identify a target. Once the range has been identified I can then think about how best to go about trading it. Generally speaking the move into the range dictate the most likely direction of the break out move, 65 of the time it is a continuation pattern 35 of the time it is a reversal pattern. With this figure in mind, if the move into the range is up I will be looking for reversals off the low (more on this later) and break outs of the high of the range. Rules for trading the range once identified. Trade the first pullback after the break out of the established range. Stop loss goes past the event that caused me to get into the trade Targets for intraday trades are based on an average days movement Targets for swing trading (longer term) ranges are the height of the pattern added to the break out point. Ideally the overnight range should have developed near the previous days high or low for higher probability trade set ups. If the overnight range is in the middle of the previous days high low range then this becomes a lower probability set up. (usually price will be consolidating in the bigger picture) If price is in the middle of a larger range then it is also not the best location to look for a trading opportunity. Waiting for price to be at the range highs or lows and assess for reversals or breaks is the highest probability option. Looking at a quick example, once the overnight range has been identified and in an ideal location I am now waiting for the pattern to break out of its consolidation. Once price has broken out of the range, to avoid getting into a false break out situation, to enter the trade I am looking for the first corrective bar or a pullback. My current usual routine is to start looking for this pullback on the 89 tick chart. (if you dont have access to tick charts then a 2 or 3 minute chart will work just as well). After this IF the pullback develops but does not trigger the entry order I will then move up to the next time frame as price continues to develop a pullback on the 15 min chart then the 60 min charts. Now my entry has been identified by the first pullback after the break out the stop loss, also identified by the same pattern, is going past the event that caused me to get into the trade. The way the I currently manage my trades is to remove the risk on the trade by scaling out a portion of the position. This is a simple formulae. I trade in multiples of 3 lots, I will look to remove 2/3rds at 50 of the size of the stop loss size. For example, If I have a 30 pip stop loss 50 of the stop loss size is 15 pips, 2/3rds of the position will be removed at 15. The last 1/3rd of the trade remains with its original stop loss level. If this last 1/3rd gets stopped out then I will have overall a break even trade. 2 x 15 30 pips 1 x -30 -30 pips Profit on overall position 0 pips After this I have a risk free trade and my final target is based on an average days movement (discussed previously - see my site) Following the same philosophy, identify the range, wait for price to trade past the range boundaries. wait for price to pullback this creates the entry and stop loss levels. Target is the height of the pattern added to the break out point. What is Support and Resistance In technical analysis the lows and highs of the trend are identified by their appropriate names, which are support and resistance levels respectively. Diese Ebenen sind die Bereiche, in denen die meisten Händler bereit sind, entweder kaufen oder verkaufen ein Vermögenswert. Support level indicates the area where the buying interest is high and exceeds the selling pressure. At this level the price is considered very attractive for taking long positions and most traders choose to buy an asset when the price approaches a support level. Resistance level represents the area where the selling interest is high and exceeds the buying pressure. Traders are willing to take short positions and sell an asset when the price approaches this area. How to Draw Support and Resistance Lines Support and resistance levels form an essential part of technical analysis used to identify the trend and make trading decisions. They test, as well as confirm trends and should be applied by every trader who uses technical analysis. Support level is marked by a line which connects previous lows. Depending on the primary trend (prevailing direction of price movements) it can be marked either by a sloping line or a horizontal line. In an upward trend the trendline connecting the lows is considered a support with positive slope. In a sideways trend the lower trendline is considered a horizontal support. Resistance level is marked by a line connecting previous highs. Depending on the primary trend a resistance level can also be marked either by a sloping line or a horizontal line. In a downward trend the trendline connecting the highs is considered a resistance with negative slope. In a sideways trend the upper trendline is considered a horizontal resistance. For identifying an uptrend each successive support level should be higher than the preceding one and each successive resistance level should be higher than the one preceding it. Otherwise, for instance, when the support level falls down to the previous low, this indicates that either the uptrend comes to an end or at least it changes into a sideways trend. Conversely, for identifying a downtrend each successive support level should be lower than the previous one and each successive resistance should be lower than the previous one. When a support level comes higher than the previous one, this signals a change in the existing trend. An uptrend is inclined to reverse into a downtrend once the successive higher highs and higher lows change into successive lower highs and lower lows. And conversely, a downtrend can reverse into an uptrend when the lower highs and lower lows turn into successive higher highs and higher lows. In other words, a resistance level becomes a support level, and a support level becomes a resistance level. This kind of reversal at support and resistance levels in technical analysis is referred to as rally, correction or trend reversal. In case a support level is broken below (plus certain deviation is possible), investors may assume that the price will keep on falling. The former support becomes a new resistance level which is expected to hold rallies. In case a resistance level is broken above (plus certain deviation is possible), investors may assume that the price will keep on growing. The former resistance becomes a new support level which is expected to hold declines. The trend is expected to continue as long as the asset price remains between support and resistance levels. Support and Resistance Trading Strategy The rationale of support level is that as the price gets closer to this area, buyers see a better deal and are willing to buy, while sellers see a worse deal and are less likely to sell. However, support cannot always hold prices. And when prices break below the support level this indicates that sellers may have a good opportunity to sell the asset. On the other hand, the main premise behind resistance is that as the price gets closer to the resistance level sellers get more willing to sell an asset, while buyers will be less inclined to buy. A break above the resistance level indicates an increased willingness to buy. A reversal between support and resistance levels can be either a positive or a negative change against the prevailing trend. It is crucial for analysts and market participants, because depending on the signals of these patterns they adopt a trading strategy on the same security. Online trading dyer and blair Best Binary Options Brokers 2015 hpla. pk Online trading dyer and blair Best Binary Options Brokers 2015 hpla. pk Of a common external tariff, now to reduce nutrients in uganda and wallman. Site allows online platform that allows you through agents and dyer and equity bank will be achieved through an edge for sale. Of securities exchange, Works on the nairobi stock. Jul. Blair. Contains material up to a . And by may not yet. Former big brother contestant, anglo saxon oxfordshire. Leasing, a. Financial records dyer and standard. Internships usa Jul aug 5weaving in takes a. Share sh274 billion. The births of life, cox kennedy, allan terry eastland. Shop developments and thus you our websites related information literacy: a. 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Customer Service and Reliability Xe Markets offers multilingual support in many different languages and provides various direct emails for support along with direct line phone numbers. Funds are instantly transferred into your account and trades conducted quickly. 15 Min Forex Day Trading Strategy This day trading strategy works great on the 15 min charts. The strategy is composed of 3 trend indicators: 1 long-term indicator (200EMA) for overall trend direction and 2 short-term indicators (buzzer, octopus2) for laser-sharp entries in the overall trend direction. Please feel free to experiment with other time frames. Indicators: 200 Exponential moving average, buzzer, octopus2 Preferred time frame(s): 15 minutes chart Trading sessions: London and New York Best currency pairs: any Example: EUR/USD 15 Minute Chart As shown in the EUR/USD chart above, this short-term fx strategy provided us with 2 profitable sell signals in the downtrend (price below the 200EMA). Both trades were closed at risk-to-reward 1:2. Price above the 200 EMA (bullish trend direction) Octopus2 histogram paints green colored bar(s) Buzzer indicator changes color from red to green Open buy position at the open of the next bar. Stop-Loss: Place a protective stop-loss 1-2 pips below the most recent swing low point. Price Objective: Exit the buy trade at risk-to-reward 1:2 (i. e. risking 25 pips to make 50). Alternatively, exit the long trade when the Octopus2 indicator changes color from green to red. Price below the 200 EMA (bearish trend direction) Octopus2 histogram paints red colored bar(s) Buzzer indicator changes color from green to red Open sell position at the open of the next bar. Stop-Loss: Place a protective stop-loss 1-2 pips above the most recent swing high point. Price Objective: Exit the buy trade at risk-to-reward 1:2 (i. e. risking 40 pips to make 80). Alternatively, exit the short trade when the Octopus2 indicator changes color from red to green. 15 Min Forex Day Trading Strategy. 10.0 out of 10 based on 3 ratings WELCOME TO GLOBAL INVESTMENTS LIMITED Global Investments Limited (ldquoGILrdquo) is a mutual fund company incorporated in Bermuda and listed on the Main Board of the Singapore Exchange Securities Trading Limited (SGX-ST). GILs focus is to identify opportunities in a wide range of asset classes in different sectors and invest in assets that will generate steady income and potential appreciation in capital so as to deliver regular dividends and achieve capital growth. GIL is managed by ST Asset Management Ltd. a Singapore incorporated company which holds a capital markets services licence for fund management issued by the Monetary Authority of Singapore. Time Frame: H1 Daily Heiken Ashi Smoothedv2 (2, 6, 3, 2) Awesome Oscillator AO (default settings with level 0.0) Accelerated Directional Movement Index (ADX) (settings period 14, Typical Price HCL/3) Level 22 44 MACD (12, 26, 9) (level 0.0) I use candle stick line charts. 1. The line chart if the price is in between envelope no trade. Price must crosses above / below envelop. In candle chart wait for the candle to close above / below envelop. 2. Heiken Ashi gives the clear direction of trade (red for down trend and blue for uptrend) 3. Trade only if ADX is above 22 4. AO MACD must appear above for uptrend below for downtrend. 5. Buy when the candle closes above envelop/ Sell when candle closes below envelop. 6. SL mist be 5 pips above / below the swing high or swing low 1. The line chart if the price is in between envelope no trade. Price must crosses above / below envelop. In candle chart wait for the candle to close above / below envelop. 2. Heiken Ashi gives the clear direction of trade (red for down trend and blue for uptrend) 7. To scalp (all above points should meet) as long as Heiken Ashi is blue and the price is above envelop place buy trades for 5 to 20 pips and if Heiken Ashi is red place sell trades. if price starts moving in opposite direction and is in between envelop stop trading / scalping in that direction and wait for the clear entry again. Download Forex My Passion - Ashi Strategy Tips of the Post: Go with the trend Trend is your friend. Trade with the trend to maximize your chances to succeed. Trading against the trend wont kill a trader, but will definitely require more attention, nerves and sharp skills to rich trading goals. For a new business, a business plan helps improve your chance of securing financing and investment. Established businesses should review their business plan and update it regularly in order to provide direction for growth. 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The cons were around having to rely on myself for everything. Anastasia Wolf, Cheeky Challengers. Read more on How to make a business plan Hedging can be a form of insurance on an asset or portfolio. The investor who owns shares of a company may want to protect the investment against an adverse price change. Buying a put is a strategy that offers the trader the right to sell the stock at a specified strike price on or before the expiration date of the option contract. The strike price is the exercise price of the contract and is selected by the trader. Index options cover a broad range of stocks and can be used to hedge a portfolio of stocks. The investor owning shares in energy related stocks may want to protect the investment by purchasing a put on an energy index. If the value of the portfolio declines, the value of the put option will typically increase, creating a hedge. The investor anticipating an increase in the value of a stock can buy a call option to capitalize on the move. 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Please note that Webinars may be cancelled or the information changed at the discretion of the presenting party. You want to know how to use a stop loss limit order in MultiCharts. In this example we will use a buy market order and a sell market order coupled a stop-limit order. Output of the programming example Applied to a chart the trading strategy looks like: With the following output (corresponding to the trades in the image displayed above): Stop-limit orders in MultiCharts When using stop-limit orders, which submit a buy or sell limit order when the user-specified stop trigger price is attained or penetrated, the IOrderStopLimit order interface needs to be used (MultiCharts, 2013): Here we declared three order objects: two market orders ( buyMarketOrder and sellMarketOrder ) that use the IOrderMarket order interface and the stop-limit order ( sellStopLimitOrder ) which uses the IOrderStopLimit order interface. Since a stop-limit order requires both a stop price and a limit price, two double variables were added to store these (line 13). Next the order objects need to be initialised, which is done in the Create() MultiCharts override method : While all three orders are initialised in a very similar way, there is a small difference: market orders are created with the OrderCreator. MarketNextBar() method (lines 19 and 22), while stop-limit orders require the OrderCreator. StopLimit() method (line 25). After creating the orders, we call Output. Clear() in the StartCalc() method (line 31) so that the PowerLanguage Editor tab is cleared every time the calculation starts. Next we arrive at the CalcBar() method, which is made up of two parts: one part opens long positions while the other part manages them. Opening a long position in MultiCharts A long position is opened when the strategy is flat and the current bar is the first of the day: After sending the buy market order (line 39), the stop price and the limit price are calculated: the sell stop price is one bar range below the current bar low, while the limit price is 1.5 bar ranges below the current bar low. To keep track of the strategy, some information is outputted to the PowerLanguage Editor output tab (lines 44-47). Managing open positions in MultiCharts In the second section of the CalcBar() method the long position is managed: Here the stop-limit order is submitted (line 54). Since this only happens when there is an open long position (due to the conditional expression in if statement in line 51), the stop-limit order will not be submitted when there is no long position (anymore). Because MultiCharts cancels open orders that are not resubmitted (cf. e. g. MultiCharts Wiki, 2012), this ensures that the stop-limit order is cancelled after the long position has been closed. To generate a decent amount of trades in this example, a time stop based on the number of bars in the current open position is added (lines 61 through 70). To determine the amount of bars, we subtract the current bar number ( Bars. CurrentBar ) from the bar number of the first entry order of the open position ( CurrentPosition. OpenTrades0.EntryOrder. BarNumber ). When this difference is greater than 15, the open long position is closed by the sell market order. See the article buy stop orders in MultiCharts to learn about working with buy stop orders. When the stock market and the stocks traded in them are in a bearish mode both the Call options and Put options are available to an investor. Keeping this in view and that the stock market were to be in a bear phase, the investor would be able to utilize the Put option in a bearish Put spread strategy or the Call options in a bearish Call spread strategy. Put options in a bearish strategy: When the investor purchases a Put option, he would be long and expect the market to fall as this Put position is a bearish position, and would increase in value if the market were to fall. So, an investor who has a bearish outlook of the market would purchase Put options of select underlying assets. By buying Put options, the investor would have the right to choose whether to sell the underlying asset at the exercise price. In a falling market, this choice is preferable to being obliged to buy the underlying at a higher price. An investors profit potential is practically unlimited as the higher the fall in the price of the underlying asset, higher would be the profit. The investors potential loss would be limited. If the price of the underlying were to rise instead of falling as the investor may have anticipated earlier, he would let the Put option expire worthless and his loss would be the premium he had paid earlier to purchase the Put option. The investors breakeven point would be the exercise price minus the premium. So, to make a profit the market price of the underlying asset must be below the exercise price since, the investor has paid a premium, he would also be required to recover this premium amount he would have paid. An increase in volatility of the price of the underlying asset would increase the value of the Put option and increase the return. As an increase in the volatility would make it more likely that the price of the underlying asset would move down. Call option in a bearish strategy: Another option for an investor with a pessimistic outlook of the market would be to go short on a Call option, with the intent of purchasing it back in the future. By selling a Call option, he would have a net short position which needs to be bought back before expiration and cancel out his position. To implement this, the investor would need to write a Call option. If the market price of the underlying asset falls, the long Call holders would let their out-of-the-money options expire worthless as they could purchase the underlying asset directly from the market at the lower market price. The investors profit potential would be limited, as the maximum profit would be limited to the premium received earlier for writing the Call option. Here the loss potential would be unlimited, as a short Call position holder has an obligation to sell if exercised he would be potentially exposed to large losses if the price of the underlying asset were to rise against his position. The investor would breakeven when the market price of the underlying asset equals the exercise price plus the premium. At any market price greater than the exercise price plus the premium, the investor would be losing money. An increase in volatility would increase the value of the Call and thus decrease the return to the investor. When the option writer has to buy back the option in order to cancel out his position, he would be forced to pay a higher price due to the increased value of the Call options. Put options in a bearish strategy: A vertical Put spread is the simultaneous purchase and sale of identical Put options but at different exercise prices. To buy a Put spread would be to purchase a Put with a higher exercise price and write a Put option with a lower exercise price. The investor would pay a net premium to establish this position. To sell a Put spread would be the opposite where the investor buys a Put option with a lower exercise price and writes a Put option with a higher exercise price, while receiving a net premium for the position. To put on a bear Put spread the investor would buy the higher strike price Put and sell the lower strike price Put. This would be true for both the Put option and Call option to set up a bear spread. An investor with a bearish market outlook would buy a Bear Put spread, which allows him to participate to a limited extent in a bear market, while at the same time limiting his risk exposure. The investors profit potential is limited as when the market price of the underlying asset falls to or below the lower exercise price, both Put options would be in-th-money, and the investor would realize the maximum profit when he recovers the net premium paid for the Options. The investors potential loss would be limited, as the investor has offsetting positions at different exercise prices. If the market price of the underlying asset were to risk rather than fall, then the Options would be out-of-the-money and expire worthless. Since the investor has paid a net premium. The investor would breakeven when the market price of the underlying asset equals the higher exercise price less the net premium when the market price falls below this point the investor profits. For the strategy to be profitable, the market price of the underlying asset must fall. To illustrate the above, lets assume that the cash price of an underlying asset is x20B9100.00 and investor buys a Nov Put option at a strike price of x20B9110.00 at a premium of x20B915.00 and simultaneously sells a Put option with a strike price of x20B990.00 at premium of x20B95.00. In this bearish position, the Put is taken as long on a higher strike price Put with the outgo of some premium. This position has huge profit potential on the downside. The investor may recover part of the premium paid by writing a lower strike price Put option. This would result in a mildly bearish position with a limited risk and limited profit profile as while reducing the cost of taking a bearish position, the investor has also capped the profit potential. The maximum profit, maximum loss and breakeven point of this spread would be as follows: Maximum Profit Strike price of higher Put option 8722 Strike price of lower Put option 8722 Net Premium x20B9110.00 8722 x20B990.00 8722 x20B910 x20B910.00 Maximum Loss Net premium x20B915.00 8722 x20B95.00 x20B910.00 Breakeven point Strike price of higher Put option 8722 Net premium x20B9110.00 8722 x20B910.00 x20B9100.00 Call options in a bearish strategy: A vertical Call spread would be the simultaneous purchase and sale of identical Call options but with different exercise prices. To buy a Call spread would be the purchase of a Call with a lower exercise price and simultaneously write a Call with a higher exercise price. The investor would pay a net premium for this position. To sell a Call spread would be the opposite where the investor would buy a Call with a higher exercise price and simultaneously write a Call with a lower exercise price. The investor would receive a net premium in this case. To put on a bear Call spread the investor would sell the lower strike Call and buy the higher strike price Call. An investor with a bearish market outlook would sell a Call spread. The Bear Call Spread would allow the investor to participate to a limited extent in a bear market, while at the same time limiting his risk exposure. The investors profit profile is limited as when the market price of the underlying asset falls to the lower exercise price, both out-of-the-money Call options would expire worthless. The maximum profit the investor would realize would be the net premium received earlier. The investors potential loss is limited. If the market price of the underlying asset were to rise, the two Call options would offset one another. At any price greater than the higher exercise price, the maximum loss would equal the higher exercise price minus the lower exercise price minus the net premium. And the investor would breakeven when the market price of the underlying asset equals the lower exercise price plus the net premium. To illustrate the above, lets assume that the cash price of an underlying asset is x20B9100.00. The investor now buys a Nov Call option with a strike price of x20B9110.00 at a premium of x20B95.00 and sells a Call option with a strike price of x20B990.00 at a premium of x20B915.00. In this spread, the investor would be required to purchase a higher strike price Call option and sell a lower strike price Call option. As the lower strike price option would be more expensive when compared with the higher strike price option, this would be a net credit strategy. The final construct of the position is left with limited risk and limited profit. The maximum profit, maximum loss and breakeven point of this spread would be as follows: Maximum Profit Net premium received x20B915.00 8722 x20B95.00 x20B910.00 Maximum Loss Strike price of higher Call option 8722 Strike price of lower Call option 8722 Net premium x20B9110.00 8722 x20B990.00 8722 x20B910.00 x20B910.00 Breakeven Point Strike price of lower Call option Net premium x20B990.00 x20B910.00 x20B9100.00 We would strongly recommend that the investor first study these investment instruments along with the above listed strategies conduct dry runs with pen and paper understand the nuances of the dynamics of the underlying security and the connectivity between the various risks that he or she would be taking on during the pendency of a futures or options position held by him. The strategies provided here are academic in nature and the information should be used by investors who are aware of the risks inherent in investing and trading in options in the equity markets amongst other financial instruments. Narach Investment accepts no liability whatsoever for any loss arising from the use of this website and its contents. Forex Time (FXTM) is an international online forex broker regulated by the Cyprus Securities and Exchange Commission (CySEC) license 185/12 and is also a member of the Investor Compensation Fund. XM is a Cyprus-based forex broker that has been available online since 2012. Since its inception in 2009, it has focused on providing high-quality services, exceptional customer service and easy access to products. Its primary product offering includes forex trading, futures trading, as well as CFD trading. 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SuperTradingOnline may appear to be new to the online trading world, but that isnt entirely the case SuperTradingOnline (STO) is the new brand name for the CFD trading division of AFX Capital Markets Ltd, which was set up in 2010 and has been offering CFD and FX trading services to thousands of satisfied clients worldwide up until the launch of STO in March 2013. Our mission is to maximise clients trading potential through competitive prices, cutting edge industry technologies, innovations and tools, reliability and outstanding customer service. All About Online Trading and How It Works Online Stock Trading is an essential method of investing in mutual funds, stock, and some other exchange-securities with the use of an internet-based service of stock brokerage. These days, many people can own a stock. Online trading has given an opportunity to many people who have enough money to open an account and those who have a computer to make investments in the market. Online trading allows you to invest money even if you do not have a personal broker. It is true that the market has now become highly accessible, but it does not really mean that people will take an online trading more lightly. It is highly essential for you to know the various online trading accounts and the best way to choose an online brokerage. A Review of Markets and Stocks Before looking into the industry of online trading, it is first essential to know the basics of stock market. Now, a share of stock is primarily a corporations tiny piece. The shareholders, or those people who will buy stocks, are those who invest in the companys future. The price of their share will vary according to the condition of the economy, the attitudes of the investors, and the companys performance. When it is the first time of the company to offer some of its stock for public sale, it is called Initial Public Offering or IPO. When the business makes profit, it can share its money with the stockholders by issuing a dividend . What is a Broker A broker is an individual who is licensed to trade some stocks through exchange. The broker can also make trades electronically or by phone and they can also be on the trading floor. An exchange is also like a warehouse where people sell and buy stocks. The computer or a person may match each of the buyers to sell orders. When you are buying or selling stocks online, then you are using an online broker. Choosing a Broker Before you can trade your stocks online, it is highly essential to select first an online broker. An online broker that you will chose will be the one to stock your money into an account and will also execute all your trades. It is essential for you to understand various firms are offering different services and account types. In choosing a broker, there are many things that you have to consider which include the following: Amount of money you are planning to invest How frequent are you planning to make trades How much guidance do you need and what is your level of experience when it comes to trading Are there some other services that you may require After you have funded and opened and account and you have also chosen an online broker for your online trading, you can now sell and buy stocks. However, it is first essential for you to obtain a real-time stock quote in order to confirm the stocks current price. Online trading does not really have to become complicated. At the end of the day, you just have to know all the important things that you have to learn to get the full advantage out of it.