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Sabtu, 21 Mei 2016

Legea Cauzalitatii in tehnicile Gann ~ forex market hours usa


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

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

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


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Selasa, 17 Mei 2016

The Straddle trade step by step ~ forex trading hours in ist


The straddle trade step by step
1. We identify a day in which a major news announcement is expected – –one which is likely to move a specific currency.
2. We identify the time of the expected news release.
3. We observe the market activity as the date and time approach.
(We are looking for indications that the market is anticipating a serious move.
This would be indicated by the prices moving within a tight range for at least
5 – – 6 hours prior to the expected news release.)
4. We take note of the upper and lower bands of the range and establish resistance and support price levels.
The Straddle trade step by step
5. We enter buy and sell orders 15 – – 20 is PIPs away, on either side of the resistance and support levels, thereby “ “ straddling” ” the market.
6. We enter stop loss orders for each of our opening orders to ensure proper equity management. Stop Loss orders should be no more than 5% of your equity on a trade, i.e. 25 PIPs.
The Straddle trade step by step
7. We wait for the news release to move the market to our order price.
Once the market trades at our price, our order will be filled.
8. We now have to cancel the opening and stop loss orders that are no longer relevant and monitorour active trade.
The Straddle trade step by step
9. We may now begin to move our stop loss order on the active trade in order to lock in profits (“ “ trail our stop” ”) – – though not too closely lest the market take us out on a t retracement wave.
10. When we reach our limit order, predetermined profit level or we notice the trend has broken, its time to take profits and close the trade. Remember to cancel the open stop loss order if it doesn’ ’t
automatically cancel.
The Straddle trade step by step
The Straddle trade step by step


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Rabu, 11 Mei 2016

Indicele dolarului vizeaza 99 75 pana pe 15 ianuarie ~ forex trading analysis software


 Cu doar o zi inainte de finalul anului 2015 cred ca merita sa aruncam o scurta privire asupra indicelui dolarului american si sa incercam o prognoza cel putin pentru debutul anului 2016.
Graficul zilnic de mai sus ne prezinta in modul cel mai clar faptul ca indicele se gaseste intr-o structura corectiva, sub unghiul 1x1 a boxului de 90 de zile. Consideram ca pana la mijlocul lunii ianuarie, indicele isi va continua miscarea ascendenta si va viza, cel mai probabil zona lui 99,75.
Nivelul de la 99.75 este nivel de rezistenta dinamica data de unghiul 1x1 care se afla in confluenta cu linia proximala a zonei de oferta dar si cu nivelul de rezistenta timp de 90 de zile. Dupa finalizarea structurii corective, ne asteptam ca dupa mijlocul lunii ianuarie, indicele dolarului sa se respinga din zona de rezistenta si sa intre in miscare descendenta spre zona de suport fix de la 50% retragere a boxului Gann aflat in confluenta cu suportul dinamic al unghiului 3x1.

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Minggu, 08 Mei 2016

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


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

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Jumat, 06 Mei 2016

Simple Day Trading Breakout ~ forex market times gmt


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

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

Simple Day Trading Breakout
Simple Day Trading Breakout






























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

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Breakout Traders ~ forex trading hours in uk



Breakout traders tend to focus on trendiness combined with trading channels, and attempt to profit from a currency that breaks above resistance or below support. Such traders are assuming a break of
technical barriers will lead to a continuation of the move. Breakout traders are similar to trend traders in that they require the market to move in the intended direction before they are willing to enter. Accordingly, this strategy comes with the same difficulties faced by trend traders; buying
at high prices and selling at low prices. nonetheless, should the market actually continue to move following the technical breach of support or resistance, the gains could be significant. Like trend trading, this approach to trading offers traders relatively low odds of success for each given trade, but the hope is to catch a big enough winner to return a profit despite numerous losses beforehand.
“I believe the very best money is made at the market turns. Everyone says you get killed trying to

pick tops and bottoms and you make all your money by playing the trend in the middle. Well, for twelve years I have been missing the meat in the middle but I have made a lot of money at tops and bottoms.”—Paul Tudor Jones
Breakout traders
Breakout traders


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Quantum Trading ~ forex market hours gmt mt4 indicator download


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

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

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

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Rabu, 04 Mei 2016

Indecision Candlestick Pattern Doji ~ forex market hours sydney


Doji
Doji is one the most important candlesticks formations. This pattern implies indecision in the market place as buyers and sellers are exterting equal pressure on the markets. In addittion, this pattern shows that there has been a large trading range. But the price does not closeon an upside oe downside bias. A true doji formation has an horizontal line instead of a body, with a long wiks. There are numerous varieties of dojis, with some examples found in Pictures , but they all connote indecision on the part of the market. If the market ia a range trading the doji indicates a neutral market. If the market is a ralling, a doji is a signal that may be losing steam an the price may start to decline from here. If the market is declining, a doji is a signal that the decline may be ending and the market may start to decline from here. Therefore, a doji provides signals of potential market top or bottoms. Hower it is also important to compare the doji to recent price action. If there has been a series of near doji or small candles the doji formations is less significant. A doji formation is significat it is appears after a long green candle in an uptrend or a long red candle in a dow trend. A double doji shows that buyers and sellers are still in equilibrium, wich further indicates that a trend reversal is probably imminent.

Below example of Doji formations:
A simple doji candle, which displays amuted range and a close equal to the open.






A long-legged doji candle, which shows a wide-ranging day with both bulls and bears at a standstill by the end of the period.



Doji Candlestick Pattern Quiz

1.What is the structure of a doji pattern?
  • Doji has an horizontal line instead of a body
  • Doji has an horizontal line instead of a body, with a short wiks
  • Doji has an horizontal line instead of a body, with a long wiks
2. What does the doji pattern?
  • Decision in the market place: buyers are more that sellers
  • Indecision in the market place: buyers and sellers are exterting equal pressure
  • Decision in the market place: sellers are more that buyers
3.When Doji is less significant?
  • If there has been a series of near doji and engulfing patterns
  • If there has been a series of near doji or long candles
  • If there has been a series of near doji or small candles
4. When Doji is more significant?
  • Doji appears after a long green/red candle in an trend
  • Doji appears before a long green/red candle in an trend
  • Doji appears before a harami candle in an trend
Score =

Correct answers:

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Selasa, 03 Mei 2016

Superscalper with EMA ~ forex 4 hour trading strategy


Super Scalper with EMA is a trend-momentum strategy.
Time Frame 5 min.
Currency pairs: EUR/USD, GBP/USD, AUD/USD, AUD/JPY, USD/CHF (features currency pairs is be low spreads).
Sessions trade: London and New York.

You can trade a maximum of 3 non-correlated currency pairs.
We use four main indicators in this strategy.
Slow Stochastic with a setting of 8,3,3 applied to the High, Low, and Close price. The overbought is set to level 80 and the oversold is set to level 20.
Exponential moving average, EMA 34 periods (close).
Exponential moving average, EMA 8 periods (close).
Exponential moving average, EMA 100 periods (close).
Pivot point levels (tool that have all trading platform).

To trade only in the direction of the trend as we identify
The trend is up when 8EMA>34EMA>100.
The trend is down when 8EMA<34EMA<100.

Criteria for buy signal
First condition: the trend is up: 8EMA>34EMA>100
8 EMA >34EMA;
The Stochastic crosses upward.
Buy whe the price come back and bouce on the 8 EMA.
Re-entry when stochastic indicator turn below level 20,crosses upward and the previous conditions are agree.
Superscalper with EMA
Superscalper with EMA EUR/USD 5 min chart

Criteria for sell signal
First condition: the trend is up: 8EMA<34EMA<100
8 EMA <34EMA;
The Stochastic crosses downward.
Buy whe the price come back and bouce on the 8 EMA.
Re-entry when stochastic indicator turn above level 80,crosses downward and the previous conditions are agree.

First stop loss 15-20 pips. When that occurs that Im in gain, I move my stop to breakeven.
Profit target 8-12 pips or at the pivot levels.

Money management: for 5 minute chart never going above a 1% risk per trade, with 3 losses in a row you could easily lose 3% down in one day.
Superscalper with EMA EUR/USD 5 min chart
Superscalper with EMA EUR/USD 5 min chart



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Senin, 02 Mei 2016

Swing Trader ~ forex trading hours new york


Swing trader measures an ideal holding period for many participants as 3 days, the the preferred time frame is 4H.
Depending on the currency pair, the profit potential per trade for swing traders can range from 50 pips to 150 pips or more.
Swing traders tend to be a bit more conservative than scalpers or day traders; they typically wait for several confi rmation signals before triggering a trade.
The tools preferred that uses a swing trader are: Bollinger Bands, Fibonacci retracements, and
trendline channels to all chart views. For example, when both daily and weekly Bollinger Bands converge at a single breakout number, odds increase that price will reverse
right at that level.
At the same time, swing traders are not bothered by intraday volatility and price swings because they are more concerned with catching the medium-term trends. Profit targets and stop-loss levels are naturally larger for swing traders because they have a slightly longer-term view than day traders.
Since trades usually have larger targets, spreads won ’t have as much of an impact to overall profi ts for swing traders. As a result, trading pairs with larger spreads and lower liquidity is acceptable.
Swing trading offers these top three advantages:
1. Favorable risk to reward. Swing traders normally are not concerned with intraday movements of the market because they have a slightly longer time horizon in watching the markets.
As their time horizon is longer than that of day traders, swing traders normally set favorable risk to reward ratios of 1:2, 1:3, or more.
If the stop loss is set at 50 pips, the profi t target is normally 100 pips, 150 pips, or more.
2. Save time. Swing traders are mostly technical traders, which means they do not have to spend time every day to keep abreast of fi nancial news.
This is not to say that news is not important, but due to the swing trader’s trading style of exiting positions in two to fi ve days, daily news events don ’t matter much. This is one of the biggest draws of swing trading and makes the method perfect for new traders or part-time traders who have full-time jobs.
3. Hassle-free. Many traders feel the need to meddle with ongoing trades or to trigger unnecessary ones. This normally happens when traders trade several times a day. As swing traders depend on a trading plan to trigger long and short positions, they do not fall into this trap. In fact, swing traders thrive on following a structured plan. Following a plan keeps human error to a minimum and enables swing traders to avoid emotional trading.
Swing Trader Rules
Medium-Term Range Trade
Rules
1. Use daily charts.
2. There are two ways to range trade in the medium term: position for up-
coming range trading opportunities or get involved in existing ranges:
Upcoming range opportunities: Look for high-volatility environments,
where short-term implied volatilities are significantly higher than
longer-termvolatilities;seekreversionbacktothemeanenvironments.
Existing ranges: Use Bollinger bands to identify existing ranges.
3. Look for reversals in oscillators such as RSI and stochastics.
4. Make sure ADX is below 25 and ideally falling.
5. Look for medium-term risk reversals near choice.
6. Confirm with price action—failure at key range resistances and
bounces on key range supports (using traditional technical indicators).
Indicators Options, Bollinger bands, stochastics, MACD, RSI, Fibonacci retracement levels.

Medium-Term Trend Trade
Rules
1. Look for developing trend on daily charts and use weekly charts for confirmation.
2. Refer back to the characteristics of a trending environment—look for those parameters to be met.
3. Buy breakout/retracement scenarios on key Fibonacci levels or moving averages.
4. Look for no major resistance levels in front of trade.
5. Look for candlestick pattern confirmation.
6. Look for moving average confluence to be on same side of trade.
7. Enter on a break of significant high or low.
8. The ideal is to wait for volatilities to contract before getting in.
9. Look for fundamentals to also be supportive of trade—growth and interest rates. You want to see a string of economic surprises or disappointments, depending on directional bias.
Indicators ADX, parabolic stop and reversal (SAR), RSI, Ichimoku clouds (a Japanese formation), Elliott waves, Fibonacci.

Medium-Term Breakout Trade
Rules
1. Use daily charts.
2. Look for contraction in short-term volatility to a point where it is sharply below long-term volatility.
3. Use pivot points to determine whether a break is a true break or a false break.
4. Look for moving average confluences to be supportive of trade.
Indicators Bollinger bands, moving averages, Fibonacci.
Swing Trader
Swing Trader

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Rabu, 27 April 2016

Detrend Forex Trading System ~ trading hours in forex


Detrend Forex Trading System is a momentum strategy.
Time Frame 60 min or higher.
Currency pairs: majors (only 60 min time frame) or higher time frame.

Indicators:
Simple moving average 3 period close;
Simple moving average 15 period close;
Detrend Indicator (DPO) 14 period close;
ADX (14 period close, with 25 level);
MACD (default setting: 12, 26, 9).
See setting in the picture below:
In the above chart, the black MA is the 3 day, and the light blue MA is the 15 day. When
using the 3/15 cross, a buy confirmation is when the 3 day crosses above the 15 day, and a
sell confirmation is when the 3 day crosses below the 15 day. (Please see above chart) For
us to take a signal from the DPO, when the confirmation from the MACD and DMI
(optional) is there, the 3/15 must confirm the trade by crossing up to 3 candles before or
after the DPO crosses the zero line. Let’s say the DPO crosses above the zero line and that cross is confirmed by the MACD and the DMI, and then on the same candle the 3/15 crosses also, or on the 2 nd or 3 rd candle after the DPO crosses the 3/15 crosses, this is a valid signal. If on the other hand the 3/15 cross first, (which occurs much more frequently) and we get a signal on the DPO on that candle or the second or third candle after the cross of the 3/15, then that is a valid confirmation. In the above chart, both of these examples of the 3/15 cross is a perfect example of a valid sell signal, and then a valid buy signal,
confirmed by all indicators at the same time.

Rules Detreend forex trading System

Long Entry
1 The Detrend indicator cross above the zero line.
2The MACD line must be above the signal line.
3 The +DI should be above the –DI or just be crossing above the -DI. (As you learned, this is not 100% necessary, but preferable.)
4 the 3 MA must cross above the 15 MA up to 3 candles either
before or after the upward cross of the Detrend Indicator.

Short Entry
1 The Detrend indicator cross below the zero line.
2 The MACD line must be below the signal line.
3 The +DI should be below the –DI or just be crossing below the -DI. (As you learned, this is not 100% necessary, but preferable.)
4 Finally, the 3 MA must cross below the 15 MA up to 3 candles either
before or after the upward cross of the Detrend indicator .

Exit Position (EUR/USD 60 min)
Place your stop loss 10 pips below the 15 MA on a long trade or 15 pips above the 15 MA on a short trade, OR put the stop at 30 pips, whichever is closer. (35 – 40 on the EUR/USD)
Continually trail the stop 10 pips below the 15 MA on a long trade or 15 pips above the 15 MA on a short trade, as the currency moves in your favor.
Once you are up 50 pips, move your stop loss to your entry point. Leave the stop loss at your entry
point for the duration of the trade.
Exit the trade when the 3 MA crosses below the 15 MA if you are long, or when the 3 MA crosses above the 15 MA if you’re short.
This is an example of a buy signal on the USD/CHF that was not confirmed by the DMI. If
you look closely, at the time of this trade the +DI had not yet crossed above the –DI. It was
still below it, however the +DI and –DI were converging very close together, and the DPO
had crossed 2 candles after the 3/15 cross, and the MACD confirmed the trade, so it was
okay to take this signal. Had the two lines of the DMI still been very far apart and widely separated you would want to pass on the trade. This ended up being a very profitable trade. It is important that when exiting the trade, you wait for the 3 to fully cross the 15 MA, because as you can see by the area that is circled on the chart, they nearly crossed but didn’t quite cross in the middle of the trade, and the currency ended up moving quite a bit further before the 3/15 finally crossed, confirming the exit of the trade.
Bought – 1.2447
Stop Loss – 1.2410 (37 pips, 10 pips below the 15 MA)
Sold – 1.2656
Profit – 209 Pips
Detrend (DPO) Forex Trading System
Detrend (DPO) Forex Trading System
Here is an example of two short trades on the USD/CHF, one right after the other. They
were both good trades, confirmed by all indicators simultaneously.
First Trade:
Sold – 1.4133
Stop Loss – 1.4177, 40 pips (Also 15 pips above the 15 MA)
Bought – 1.4067
Profit – 66 pips
Second Trade:
Sold – 1.4028
Stop Loss – 1.4063, 35 pips (15 pips above the 15 MA)
Bought – 1.3876
Profit – 152 pips

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Senin, 25 April 2016

Range Trader ~ forex trading hours new year 2013


The range trader waits for prices to enter into sideways ranges. The price could be coming from an uptrend or a downtrend, but there are likely to be pauses along the way. The range trader will select a direction to trade and then wait for either the failure of the price to penetrate resistance or support. The price could in fact close above resis- tance or support but then proceed to fall back. Using a setup to confirm the reversal the range trader is looking for a 15+ pip move. In the U.S. dollar–Japanese yen (USDJPY) 15-minutechartshowninFigure14.1,we see a setup with standard Bollingerbands, slow stochastics (5, 3, 3) and moving average convergence divergence (MACD) histogram These indicators are all lined up and provide a high confidence that the setup for the trade is reasonable. The setup aligned itself for several bounces off the top and bottom trades. Important to note in the setup is the convergence of the upper channel line with the upper Bollinger band. The range is about 40 pips. This means the trade has to conserve slippage and trade off the top or bottom.
 Range Trader Rules
1. Use hourly charts to determine entry points and daily charts to confirm
that a range trade exists on a longer time frame.
2. Use oscillators to determine entry point within range.
3. Look for short-dated risk reversals to be near choice.
4. Look for reversal in oscillators (RSI or stochastics at extreme point).
5. It is a stronger trade when prices fail at key resistance or hold key support levels (use Fibonacci retracement points and moving averages).
Indicators Stochastics, MACD, RSI, Bollinger bands, options, Fibonacci retracement levels.
Range Trader
Range Trader

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Kamis, 21 April 2016

Indicele dolarului evolueaza in continuare in structura corectiva ~ xm forex trading hours


La finalul saptamanii precedente indexul dolarului american s-a depreciat pana pe zona de suport fix de 75% a box-ului nostru Gann, de 90 de zile. Putem sa observam cu usurinta din graficul de mai sus ca in acest moment pretul evolueaza in cadryl unei structuri corective sub unghiul 1x1. Consideram ca in aceasta saptamana , exista o buna probabilitate ca pretul sa se resinga de pe aceasta zona si sa intre intr-o miscare de raliu de retestare a unghiului 1x1. Cu toate acestea nu vom deschide o pozitie long pe indicele dolarului. Din punctul nostru de vedere indicele dolarului se gaseste intr-o structura corectiva negativa ce ar putea trimite pretul spre 96.50. Vom astepta finalizarea acestui raliu ,cel mai probabil in zona lui 99.50/100, pentru o posibila pozitie short cu un prim target la 98.45 si un al doilea target la 96.50.


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Jumat, 15 April 2016

Forex Strategies ~ forex market hours utc


What are the forex strategies?
A forex strategy is a group of specific rules, that determine buy and sell points for your trade in forex markets. These points, known as signals of trading, are often marked on a graph in real time and will prompt you to pull the trigger.
Here are some of the most common financial technical indicators used to construct the forex strategies:
Chart Patterns: ( Candlesticks formations: doji, Hammer, and more; chart patterns formation: triangle, butterfly, kor harmonics and more).
Moving Averages: ( exponential, simple, smoothed),
Oscillators: Stochastics, Momentum, Relative Strength, Commodity Channel Index,Bollinger Bands, and more other.
These patterns of indicators will be combined in the creation of a rule for un trandi system. For example, the MACD crossover system uses two moving average parameters, the long-term and the short-term, and a signal line to create a rule.
The advantages to adopt a forex strategy?
Help to control of the emotion that as one of the biggest flaws of individual trades. The trading system can increase profits.
The main trading systems in Learn Forex Trading are those that follow trends (a popular saying in the market is "the trend is your friend"), or trading system that buy or sell on breakouts. But they are many forex strategies based other medthod of trading or more methods combined:
Scalping Forex Strategies;
Trend Following Strategies;
Counter Trend;
Trading Strategies based on chart patterns and more.
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Forex Strategies

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Indicele dolarului testează zona de rezistență ~ alpari forex trading platform download


A?a cum ne a?teptam în analiza noastr? de diminea??, indicele dolarului ?i-a continuat mi?carea descendent? spre nivelul de suport de la 61.8% din swing-ul ascendent precedent. Moneda european? s-a apreciat în aceast? diminea?? ?i pozi?ia noastr? long, de scalping ne-a adus +50 de pips.
Dup? cum pute?i vedea în imaginea de mai jos, indicele dolarului s-a respins de pe zona de 61.8% Fibonacci ?i a intrat în raliu pan? pe zona de 50% retragere Fibonacci. Peste aceast? zon? avem o zon? cu trafic intens, posibil? zon? de blocaj în calea indicelui dolarului la 0.382 retragere Fibonacci,din acest motiv ne a?tept?m ca foarte probabil acesta s? revin? s? testeze zona de suport de la 61.8 Fibonacci dup? ce va termina acest raliu.
În urm? cu cateva minute, pe ?tirile ce au venit de la Banca Angliei am decis s? deschidem o pozi?ie de scalping short lir? sterlin? cu o prim? targetare la 1.5282 ?i un al doilea target la 1.5242.
Dup? cum se poate vedea în graficul din stanga imaginii, pozi?ia noastr? short a ajuns deja în zona de managerizare a primului target. Am marcat par?ial profitul ?i am dus pozi?ia la BE+. Ramanem short lir? sterlin? versus USD , în free trade.

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Rabu, 13 April 2016

Indicele dolarului consolideaza sub zona de rezistenta dinamica a unghiului 3x1 ~ forex trading platforms canada


La finalul anului precedent postam pe blog o analiza pe indicele dolarului in care prognozam ca acesta ar trebui ca pana la mijlocul lunii ianuarie sa testeze zona lui 99.70. Dupa cum putem sa vedem pe graficul de 4H postat mai sus ieri pretul ne-a oferit o maxima la 99.63 , cu cativa pips sub targetul nostru dupa care s-a retras si a inchis candela sub nivelul de rezistenta dinamica a unghiului 3x1. Putem observa ca in acest moment pretul consolideaza sub aceasta zona de rezistenta dinamica. Daca pretul va strapunge aceasta zona de rezistenta, este foarte probabil ca el sa ajunga pe zona de rezistenta dinamica a unghiului 8x1. Din perspectiva noastra, acea zona (aproximativ 100.10) ar deschide potentialul unei pozitii short pe indicele dolarului care sa-l trimita intr-o miscare descendenta mai ampla spre minima box-ului nostru Gann de 45 de zile.


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

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

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Riding the Bull or Bear news strategy ~ forex market hours new year


Anticipating Results (Most Aggressive Strategy)

The trader has an intuitive feeling (a hunch) for the outcome of the economic data. It is not a wise strategy to put on a trade before an economic news announcement. But if the trader has an informed point of view, putting on thetrade before the news announcement is an aggressive play that can be very profitable if correct. The key risk of being wrong and having the price move against you is important to minimize.
Tactics for the aggressive strategy are as follows: About 15 minutes before the economic data release, locatethe5-minute or 15-minutec hart.Locate support and resistance levels. Use the average true range (ATR) at the default setting of 14 periods. Place a market order in the direction you desire. Place a stop loss order at 2 times the ATR. Should you put on a limit order? In trading the news, the idea is to be ready for a big move But we don’t know if a big move will come. So a small limit order targeting 10 to 15 pips would be like eating cake with artificial sweeteners. If you’re going to trade the news, focus on controlling the risk. The idea is to take a ride on the bull or bear, get on before the break of the news, and then try to stay on to get the most out of the move. So I don’t recommend a small limit. You might want to put on a larger limit of 75 pips.
Getting off the trade in a news event requires a high level of skills in identifying shifts in sentiment. Renko charts are a powerful tool for this. Remember, riding a bull or bear represents high risk. But if you want to try it out, do it with small lots on and test your skills.
Riding the Bull or Bear (News Trading)
Riding the Bull or Bear

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Senin, 28 Maret 2016

Indicele dolarului gata de long ~ forex trading auto software


Indicele dolarului ?i-a continuat ?i în acest început de s?pt?mân? mi?carea corectiv? din valul 4. Dup? cum se poate observa în graficul nostru de 4 ore, în acest moment pre?ul evolueaz? într-o structur? clasic? tip wedge. Consider?m c? a?teptatele date de mîine pot s? activeze dolarul ?i s? îl trimit? din nou în mi?care ascendent? în valul 5.


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Minggu, 27 Maret 2016

Indicele dolarului se respinge din rezistenta 3x1 la 75 timp ~ forex trading platforms comparison


In ultima noastra analiza pe indicele dolarului spuneam ca pretul testeaza nivelul de rezistenta dinamic al unghiului 3x1 si daca acesta va ceda deschide cale libera catre nivelul de rezistenta dinamica al unghiului 8x1. Dupa cum putem sa vedem in graficul postat mai sus pretul a realizat un top exact pe nivelul de rezistenta dinamica al unghiului 3x1 in momentul in care s-a suprapus cu nivelul de rezistenta timp de la 75% a box-ului nostru Gann. Dupa cum stim, Gann spunea ca in momentul in care timpul se suprapune cu pretul exista un grad foarte ridicat de probabilitate ca trendul sa-si modifice directia. Putem sa vedem ca pretul nu a reusit sa strapunga rezistenta dinamica si pe acea zona a realizat un double top dupa care azi s-a prabusit in mod accelerat. In mod evident prima tinta de pret pentru indicele dolarului este pe zona de rezistenta a canalului de pret aflat in confluenta cu nivelul de 50% a box-ului Gann. Daca acest nivel de suport va ceda urmatoarea tinta pentru pret este pe nivelul de suport fix de 0.666 . Ultimul target din perspectiva noastra ar trebui sa fie in zona de suport de la 98.50. Ce va trebui sa urmarim in aceasta tranzactie short? In primul rand sa vedem daca pretul va strapunge canalul de consolidare. Daca pretul va strapunge suportul canalului de consolidare si va gasi suport la 0.666 foarte probabil va realiza o corectie sub suportul canlului de consolidare dupa care va continua miscarea descendenta. Dar pana atunci va trebui sa managerizam corect pozitia short si sa vizam primul obiectiv de pret unde vom marca partial profitul si vom duce pozitia la BE+.


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

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


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