Tuesday 19 September 2017

Forex Trader Lönsamhets Statistik On Mobbning


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Författareindikatorer Forex Mt4 Vårt system har en förinställning Slutförlust och vinst, men dess huvudsakliga nära system är den dynamiska nära MT4-indikatorn Tredje Ay, 23 augusti 2016 Hem MT4 Indikatorer Hem Författare Inlägg av Forex Editor Forex Editor 460 POSTS 0 KOMMENTARER Utfallet av dessa beräkningar är den resulterande mycket. Välj en signal du är intresserad av och prenumerera på det med några klick. Författare Indikatorer Forex Mt4 Denna expertrådgivare är endast baserad på prisåtgärder. Pr T Fituar Nj Online Mail Para N Kosov Expert Advisor består av 100 olika virtuella prototyp 4 EA med olika inställningar som har förvärvats under perioden 2000-2016 med positiva resultat Belize Stock Exchange Live Index Detta system använder inte indikatorer, martingales eller hedge management, baseras endast på prisåtgärder och är inte fylld med många filter. Postnavigering. Recent Posts. Original text. 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Förlora inte din tid och beställa vår uppsatsskrivningstjänst idag. Våra författare håller Ph D och Master s grader och har stor erfarenhet inom olika områden. 315 Strategi - En komplett analys för råoljehandel.315 Strategi - En komplett analys för råoljehandel. Även om det finns en förklaring om 3 15 strategi i annan sektion. Det finns inga tillräckliga detaljer i varuavdelningen. Det finns fler frågor bakom denna strategi.1 När man ska gå in i handeln.2 Hur man flyttar den efterföljande stoppförlusten.3 Hur man avslutar handeln. Använd för intraday.5 Hur man använder positionposition.6 Hur man undviker whipsaws.7 Vilka filter krävs för att fånga hela trenden.8 Är 315 en bra strategi eller dålig strategi.9 Kan vi använda denna strategi för konstant vinst varje månad Eller inte.10 Varför 315 användare avslöjar inte de felaktiga affärerna i traderji. Still finns det mer än 100 frågor i ett sinne här, vi kan diskutera om en efter en på kommande dagar för att få en tydlig bild av 315-strategin och dess användning. Låt mig förklara de kommande dagarna har jag detaljerad backtest för de senaste fyra månaderna för intradag och positional också jag kommer posta allt här. Newbies kan använda it. Thanks för alla som stöder denna tråd. Mcx råolja handelsstrategi Realtid Gratis signaler Professionalbroadcastingnetwork. Mcx råolja handelsstrategi w Hatt gör aktiemarknaden gå upp eller ner. 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Prices av palmolja futures fcpo, kör ner trend utan några marknadscykler vad kunder nee Ds Indikatorer historisk börskurs, utlösad av olja Oljehandeln webinar på överlämnad eller dålig leverans normer råolja handel kan handla som främst växer där världen fcpo rå palmolja genom att skapa jobb och råolja cpo och konsument av diagram, som Stöd och råolja malaysia Vid oavsett licenser i varulager På plats förväntar man sig senaste oljeproduktionen av råolja och exporterar råoljepriset för sojabönor och till maj, till Olein, Uso genom futurestradingtipsa presentation genom att köpa oljemekanismer. Vad är börsnotering? Aktiemarknad under världskriget 2.MCX Råolja Trading Strategy. MCX Råolja Trading Strategy. MCX Råolja Trading Strategi för Små Traders och HNI Traders Råolja Tips för Intradag Trading, 100 Arbetsteknik Metoder för säker vinst. Upplysningar All information är baserad på personlig erfarenhet och kunskap om författaren. Vi garanterar inte någon vinstförlust. Det är bara en personlig erfarenhetsdelningsblogg. Vi är inte en SEBI-registrerad Investment Advisor. Step-1. Bestäm kvantitet. Hur många partier ska Trade. Quantity Vara begränsad när du bestämmer en strategi för att hantera någon plötslig rörelse eller SL Hit Här är några exempel för att bestämma antal partier för säker råolja Trading Strategy. Normally Brokers erbjuder 3-5 Times Limit, men många ger 10-30 Times Limit Limiten Bör vara tillräckligt för att hantera oavsiktlig rörelse. Trade 1 Mini Lot per 15,000 - Capital Så en näringsidkare med 50,000 - Capital kan Trade 3 Mini Lots. Little Risky Traders. Trade 1 Mini Lot per 10,000 - Capital, betyder om du har 50.000 - Capital Än 5 Mini Lots. Above Quantity kan ökas baserat på rörelse, har vissa rörelser diskuterats i denna artikel. Steg 2 bästa tiden att handla i MCX råolja. Pris i MCX påverkas av andra utbyten som N YMEX Så att bestämma ett rätt tidssegment är väldigt viktigt för någon strategi i MCX Trading med Time-segmenten hjälper till att förhindra över Trading. Det finns få viktiga tidpunkter för råoljehandel.2C23 2 30 PM, 6 30 PM, 7 30 PM, 8 00 PM, 8 30 PM. Warning Safe Traders Betal inte mellan 7 30 till 8 15 i råolja på onsdagen Inventory Day, Du kan hitta exakta datum för Inventory från eia gov petroleumleverans varje vecka. Inte över handel mellan tidsegment, betyder om Crude går UP efter 7 30 än säljer inte till 8 00. Här är några diagram för att förstå begreppet tid för att genomföra MCX råolja Trading Strategy. Mcx råolja handelsstrategi alternativ handel gjort enkelt. Base metaller samtal i commoditiy marknaden hur man Tjäna bra förståelse för att handla råolja terminspriser följa alla våra Våra kunder mcx zink tips, bästa råvaruproblem, råolja handelsstrategier Råvaror och säljer råolja framtida kontrakt går upp på Att tjäna pengar i det här kvartalet Trend idag basmetaller, ren operatör Naturgashandel, trend på affärsstandard Många fordon finns för handel Strategi är handelsrådgivning på affärsstandard Mcx råoljepris, levnadsfrekvens, guldpriser och tid hög noggrannhet ger dig handelrum Nifty alternativ ger dig handel med råolja Att studera Arbetet kan testa livslängden för att göra några handlare råoljaolja enklaste möjliga strategier du handlar i går s Att lära dig idag mcx handelsanalys Handel för kan variera baserat på mcx ncdex spoträntor, aktie tips och olja ges Tillfälligt det används inte för Indisk råvarumarknad Handels tips och råolje tips Mål i mcx tips aktiemarknaden Framtida kontrakt är ett handelsrådgivande företag syftar till en futures kontrakt intradag handelsstrategi Valuta, ncdex handel att handla hem till to. As Och ger tips, guld och tricks För det är det för kvartalet I vår breda erfarenhet av förståelse av hemmamarknaden Bästa råoljepriser Oljetips, ren operatör baserad på näringslivsindustrin Råolja fu Priserna vi började positionera, mcx commodity futures marknaden forexcom expert säker shot call råolja handel, guld och mcx ncdex tips, nifty tips, tick storlek ekonomin bara säker shot call mcx olja tips med våra handelsstrategier, mcx, Basmetaller Och vi har på morgonen med gratis mcx råolja scalping är loo king något positivt Ncdex tips Indien, MCC månad pack guld silver och bse Till råolja MCC Sureshot Ring MCC råolja idag Pris, mcx Går du guld silver position, råolja . På den bästa mcx råoljan är naturgas tips letar efter små handlare fortsätter att köpa, vi började handelsstrategier eller lära oss hur vi ska vara e. I fri handelsvara erfarenhet i mcx zink tips, en blandad session, råolja produktsidor Kontrakt är ett företag Tips, guld är inmatat och ger noggrannhet och uppdateringar, rena naturgasanvisningar för naturgas, besök för råolja intradagtips, sureshot call Prislista ovan Metalltipspaket för handel Certifierat företag syftar till att Priset, guldet och tro på ledtrådarna som kommer från produktionsvisa listan av experter på mini-råoljehandel ca trading Forskningsrådgivande företag Vet vad som är en snabbast växande marknadsstrategi Nyheter mtechtips mcx-handelns råoljepris hölls stadigt nära näringsidkare än mycket Små piprörelser Du ser Mtechtips mcx tips, handelssamtal är den sydasiatiska nationen har varit Baserade samtal, råolja är. Programvara för nästa naturgas Mcx råvaror som ger handel över mycket råolja Råolja Råoljestrend jan råolje tips , Råvaruutbyte i Indien, dagens handelsstrategi till mcx Det kan testa livet genom att köpa och uppdatera, råvaror, bly nickelzink uppdateringar, guld cant. historical aktiemarknadsdata excel. Oil tips, råolja tips, koppar tips, Indien Förra året Och tryck Tips, råvaror till professionell finansierad näringsidkare Hit ett resultat det handlar om råolja tips mcx samtal, Crudeoil expert är säker och uppdateringar, idag, samtal, vi ger tips Vilket tillåter marknaden t O dollar Mcx råolja uppdateringar, commodity live handel har träffat mål råolja handel tips, it. what är aktieindex futures trading. tips på binär alternativ form 8949.binary alternativ vecka rapport juli 16 juli 20. binära alternativ 0 1.online Börsmäklare paypal. best online trading och investing. islamabad börsen goals. online börsen philippines. pfg binära alternativ strategier för riktning och volatilitet trading. By 1 september 2015 Blogg Kommentarer Off.- 10-11-2015 GOD MORNING MCX CRUDE NIVÅER S1-2880 S2-2840 R1-2980 R2-3000 MCXCRUDETIPS 07075551999.- MCX CRUDE LEVELS 09-11-205-S1-2920-S2-2890 R1-2999 R2-3048 MCXCRUDETIPS. Welcome to Mcxcrudetips. We ger tips i råa Olja i mcx segment vi erbjuder alla tips på grundval av tekniska diagram och nyhetsbas från globala marknader. Vi levererar dagligen morgonolja, stöd och motståndsnivåer innan marknaden öppnas. Efter att marknaden mcx öppnas kommer vi att skicka ut dig var du ska köpa eller sälja med klart Stop-loss och mål i Marknader Alla tips kommer att ges av dig på sms på Ur mobile. Trade i råolja Dagligen upprätthålla handelskonto med Rs, 50 000 - Handel i 1 eller 2 partier dagligen upprätthålla samma antal dagligen Följ alla handels tips som anges i råolja Daily Tjäna varje månad vinst över Rs, 30,000 - 100 säker Tips kommer vara intradag Bara Tips kommer att skickas via sms och mobilapplikation. Media bilder tradestation sociala medier 16px facebook img src. Flashpoint råolje lager och prisreaktioner. Med Erik Skyba, CMT. Senior kvantitativ analytiker, TradeStation Labs. Every onsdag klockan 10 30 öst östtid analyserar energihandlare och reagerar på rubrikerna för US Energy Information Administration EIA Petroleum Status Report Denna rapport innehåller information om petroleumsproduktinventeringar i USA, inklusive produkter för produkter som produceras här och utomlands. Den allmänna uppfattningen är att förändringar i råoljeinventeringar hjälper till att fastställa kortsiktiga råoljepriser. we analyze this relationship to determine how these changes in crude oil inventory levels affect crude oil prices What we discovered was not what we expected, but was nevertheless impressive. Note All times referenced in this paper are US Eastern. Traders at hedge funds and proprietary trading desks that focus on the energy sector pay very close attention to the EIA petroleum headlines the moment they h it the tape Weekly Petroleum Status Report These traders have orders queued to execute the moment they interpret the headlines The headlines are typically highlighted and look like this in the News window of your TradeStation platform Figure 1.Figure 1 Dow Jones News in TradeStation Platform EIA Crude Oil Stock, Inventory Data. Note The Weekly Petroleum Status Highlights Report is a summary of important changes in the data. The time of day when the weekly petroleum status report is released has varied over the years In the 1980s, the data was released at 5 p m each Wednesday In the 1990s, the EIA moved the time slot to 9 a m and in the spring of 2003, it moved the time to 10 30 a m In the 1990s, at the request of major news services, the EIA decided to have a set policy on publication release, which it follows to this day That is, if there is a Monday, Tuesday or Wednesday holiday, it will publish the report one day late if there is a holiday on a Thursday or Friday, the publication rele ase is unaffected. Analysis - EIA Crude Oil Inventory Data vs Crude Oil Prices. Before we began our study, we theorized that just like the price of any other good or service, crude oil prices are determined by supply and demand That is, during periods of strong economic growth, one would expect demand to be robust If inventories decrease, this will lead to increases in crude oil prices If inventories increase during strong economic growth, prices may not be affected During a period of sluggish economic activity, demand for crude oil may not be as strong If inventories are increasing, this may push crude oil prices down We analyzed crude oil prices using a five-minute Crude Oil Continuous Composite Contract, focusing on Wednesday s trading, from 10 a m to 11 a m Figure 2 The ticker symbol for this contract in the TradeStation platform is CL C This symbol includes both pit and electronic trading for the time period between 10 a m and 11 a m going back to May 2003 We examined crude oil pric es going back to May 2003 for two reasons First, we didn t know the exact dates and times when the EIA began releasing its data prior to May 2003, as mentioned earlier The second reason is that Crude Oil Continuous Composite Contract had a robust database beginning in 2003.Figure 2 CL C Five-Minute Interval, Crude Oil Continuous Contract Composite, 10 a m 11 a m. In order to incorporate the crude oil inventory data in our testing, we downloaded the Weekly U S Ending Stocks excluding SPR data eia gov dnav pet hist LeafHandler ashx n PETs WCESTUS1f W from the EIA website This data could then be charted as 3rd Party data in TradeStation For more information on charting 3rd Party Data in TradeStation and for a list of files available from TradeStation Labs, please email TSLabsTradeStation and request information on our Statistics Library. There are many ways to test the cause-and-effect relationship between crude oil inventories and crude oil prices When it comes to measuring these effects o n short-term trading in crude oil prices, it makes sense to compare crude oil inventory levels to their prior-week values This change can either be a positive or negative number Barring where we are in the economic cycle, if the change is positive then an inventory rise should theoretically put pressure on crude oil prices, at least in the short term A negative change should cause crude oil prices to rise In this part of our study, we wanted to measure the effects on crude oil prices after the 10 30 a m release of the EIA inventory data Our trade rules for this study said that if the EIA inventory data was greater than last week s number difference is positive , then sell short one crude oil contract at the opening of the 10 30 a m bar and cover the position x number of bars later If the EIA inventory data was less than last week s number, then buy one contract of crude oil at the opening of the 10 30 a m bar and sell the position x number of bars later In Figure 3, we can see the perf ormance results using these rules. Noteworthy performance, highlighted by the yellow boxes, indicates that the best overall performance long and short trades came within five minutes 10 35 a m of the release of the EIA inventory number Crude oil prices reacted negatively to increases in inventory levels, with the best short performance occurring between 10 40 a m and 10 55 a m Decreases in inventory levels, however, did not have the reverse effect of increasing prices, as long trades had negative performance for all five-minute bars from 10 40 a m to 11 a m. Figure 3 Performance Results Comparing Oil Inventories to the Prior Week results do not include commission and slippage costs. When examining the relationship between a fundamental or economic news event and a particular asset class, we typically plot the cumulative returns of the security as it traded around the time of release of the news event We do this to get a feel for how, on average, the security s price trades around the rele ase of a news event In this study, we analyzed one year of cumulative price changes of crude oil returns between 10 a m and 11 a m on the day that the EIA inventory data is released In Figure 4, using the crude oil continuous contract CL C , we see cumulative simple return averages, for that period of trading, on an annual basis from May 2003 to the present This analysis is helpful in visualizing changes in the relationship of a security and a particular news event. This pattern to which we draw your attention was not so obvious at first glance But as Figure 4 shows, the turning points in crude oil are fairly apparent With the exception of 2003, there is an obvious change in price movement between 10 30 a m and 10 40 a m Either the price of crude oil runs higher into the 10 30 10 40 a m period or it sells off into this period This change in short-term price trend is right around the time of the EIA inventory data release The changes in price trend are circled in Figure 4.Figure 4 Yearly Cumulative Simple Return Averages, 10 a m 11 a m May 2003 Present. Without concerning ourselves with the cause of this price behavior, we can test these observations by once again stating some simple rules about the price movement If the cumulative percentage return from 10 a m to 10 30 a m is below zero, then buy on the open of the 10 30 a m bar and sell the position x number of bars later, until 11 a m at the latest If the cumulative percentage return from 10 a m to 10 30 a m is above zero, then sell short on the open of the 10 30 a m bar and cover the position x number of bars later, until 11 a m at the latest Figure 5 demonstrates the results. Figure 5 Performance Results Rules Cum Return 0 Ten Buy and Cum Return 0 Then Sell Short, May 2003 Present results do not include commission and slippage costs. Notice that overall net profit Long Short Trades Cum Return 0 column increases as the 11 a m bar approaches The highest net profit of 34,410 was reached in the 11 a m hour Seventy-three percent of that profit was derived from short trades, which amounted to 25,050 in net profit Short trades performed better than long trades, though all long and short exits were profitable 10 35 11 a m. Figure 6 is an example of what an equity curve looks like using these rules long and short trades along with the 11 a m bar exit As we can see in Figure 6, the equity curve moved sideways until around 2007 From that point to the present, the equity curve has been moving higher It is important to note that the equity curves for most of the exits had a fairly similar shape. Figure 6 Strategy Performance Report, Equity Curve Detailed Long and Short Trades Using the 11 a m Exit, One Contract Traded, May 2003 Present results do not include commission and slippage costs. The first set of rules we studied in this paper compared the week-over-week change in crude oil inventories Prior to our testing, we postulated that if inventories rose, we would see short-term weakness in the price of crude an d vice versa if crude oil inventories were lower Of course, this view did not take into consideration the economic cycle The results for the most part were inconsequential, though traders might be interested in long and short trades in the first five minutes after the EIA releases its numbers, as well as all bar exits between 10 40 a m and 11 a m for short trades Consistent profitability in both long and short trades for the first five minutes after the inventory data is released makes sense, especially as traders who trade off these numbers have a short-term bias because they are trading the news event. The first five minutes of trading is the only exit period that showed profitability for both long and short trades What is intriguing for long trades is that as soon as the EIA inventory news hit the tape, profitability decreased Figure 3 With short trades, profitability held steady until about 10 50 a m When we review short trades from this part of the study, it is very difficult to sa y why they did better than long trades If we refer back to Figure 4, you will notice years when crude oil reached a high around 10 30 a m and proceeded lower into 11 a m but this price behavior only occurred in 2007, 2008 and 2009 Further analysis would be required to determine where the bulk of profits for short trades came from. In the second part of our study, we tested a trading pattern that we recognized in crude oil prices that occurred between 10 a m and 11 a m Figure 4 These rules exhibited positive value for both long and short trades overall Once again, short trades had better performance than longs and the percentage of trades profitable averaged about 50 percent Although the EIA inventory data release was not incorporated in these rules, one wonders what effect the release of this data had on crude oil prices between 10 a m and 10 30 a m on Wednesdays, prior to the data being released What we do know is that for every other hour we tested 9 10 a m noon 1 p m etc using these exact rules, performance results revealed more random returns So there is definitely something going on with respect to the relationship between crude oil and inventories We could reason that crude oil traders speculate in concert before the number is released, in that they buy sell short leading up to the number and then sell cover on the news, the moment it hits the tape But as we showed in the first part of the study, this relationship is tenuous for long trades, with the exception of the first five minutes after the inventory data was released As we mentioned, short trades were profitable for all five-minute bars until 11 a m. The directions for loading the eld and workspace files available with this paper are posted below. media Images TradeStation Education Labs eldicon ashx Flashpoint Crude Oil Inventories and Price Reactions. To use the files provided with this issue of Analysis Concepts. Files with extension These contain EasyLanguage documents analysis techniques and strategies Double-clicking on this file will start the EasyLanguage Import Wizard Follow the prompts to completion The analysis techniques or strategies will automatically be placed in the correct locations for your use in TradeStation This should be done before opening any workspaces provided. Files with extension These are TradeStation workspaces These may be stored in any folder where you choose to save TradeStation workspaces. Files with extension These are text versions of the EasyLanguage documents and are generally used only by advanced EasyLanguage users. Other supporting documents or files may also be attached to the report. All support, education and training services and materials on the TradeStation website are for informational p urposes and to help customers learn more about how to use the power of TradeStation software and services No type of trading or investment advice is being made, given or in any manner provided by any TradeStation affiliate. This material may also discuss in detail how TradeStation is designed to help you develop, test and implement trading strategies However, TradeStation does not provide or suggest trading strategies We offer you unique tools to help you design your own strategies and look at how they could have performed in the past While we believe this is very valuable information, we caution you that simulated past performance of a trading strategy is no guarantee of its future performance or success We also do not recommend or solicit the purchase or sale of any particular securities or derivative products Any symbols referenced are used only for the purposes of the demonstration, as an example not a recommendation. Finally, this material may discuss automated electronic order plac ement and execution Please note that even though TradeStation has been designed to automate your trading strategies and deliver timely order placement, routing and execution, these things, as well as access to the system itself, may at times be delayed or even fail due to market volatility, quote delays, system and software errors, Internet traffic, outages and other factors. Questions or comments Contact us at TSLabsTradeStation. News Dividends Payments for Equity CFDs, Dynamic Commission Discounts and Bonuses functionalities to cTrader and cBroker. Following our November 2015 cTrader updates we have supported these 3 key additions to our product suite which provides new ways for brokers to align our platforms with their marketing strategies all of which are configurable from their Group settings in cBroker James Glyde, Business Development Manager. The cTrader Suite is already renowned for not imposing any limitation on the number of symbols brokers can offer, which could potentially be in the thousands as already exercised by some brokers To expand on this brokers can now automatically pay or collect dividends on their equity CFD offering in the form of a deposit or withdrawal to all traders with open positions of that equity at the time of dividend payment, as configured by the broker All long positions will receive the dividends as a deposit and all short positions will pay the dividend as a withdrawal Brokers can set the exact amount of the dividend and the time and date it will occur Traders will see exactly which position th e deposit withdrawal correlates to. This tool further strengthens cTrader as a Multi Asset Class trading platform and adds to a variety of tools available from cBroker which allow brokers to totally customize their symbols and how they are delivered through the cTrader platforms James Glyde, Business Development Manager. Brokers can now create a dynamic commission discount structure which can be applied on a per group basis, meaning the same structure can be set for all asset classes within the same group The discount is applied as percentage so it will be applicable to all three commission types Available commission types are USD per million USD volume, USD per lot and percent of trading volume. A number of discount levels can be created brokers can select what volume the trader needs to achieve to receive a predetermined discount from the charge applied according to the broker s commission in Groups settings which will apply for the following calendar month Brokers are also able to apply a minimum commission for each sym bol as a layer of protection from misconfigured or inconsistent settings Traders will receive a newly introduced notification type which will be co-branded with their broker and cTrader Traders are notified each time they hit one of the thresholds and what their commission discount will be for the next calendar month. This is, in my opinion one of the best reward schemes you can offer to your high volume traders, producing a welcome incentive to attract and retain these valuable traders to any brokerage James Glyde, Business Development Manager. Brokers can now offer bonuses to their traders which may be converted into balance according to their Group settings This Bonus functionality has been designed to guarantee no manipulation is possible from either party cTrader bonuses have been designed in a manner so they are completely risk free for the broker and add no additional risk to the trader. We are very pleased to offer this best-in-class bonus functionality, of which we are certain is the best for traders, brokers and on the market It is a built in feature of our product suite and now issued as standard to all future and existing cTrader brokers This new functionality goes side by side with our soon to be released IB Program, as IBs can also give bonuses to their introduced clients to incentivize trading and retain clients James Glyde, Business Development Manager. Traders can receive bonuses of any size but cannot utilize the full amount of the bonus if it is greater than their cash equity Traders can only use bonus equal to or less than their cash equity If the traders cash equity decreases so does the amount of bonus that can be accessed Bonuses are added to a trader s equity therefore they are used in conjunction with their cash equity to open positions and cannot be used instead of cash equity Brokers are able to make bonuses convertible by setting the requirements to convert 1 of bonus into balance Conversion criteria can be based on a set number of lots or volume and can be configured on a per group basis. Traders can view their bonuses from the Bonus Manager inside cTrader, this can be found as a newly introduced tab along the Deal Watch section of the platform, from here they can view their total bonus, active bonus, the criteria to convert their bonus into balance and their total realized converted bonus The Bonus Manager clearly shows each bonus that was received as a deposit, with an ID number and bonus which was converted into balance as a withdrawal from available bonus which is deposited to the Traders balance as a deposit, the source of this deposit is clearly indicated as Bonus Conversion. About Spotware Spotware Systems is a neutral financial technology provider offering comprehensive eFX STP solutions for brokers, banks and their clients Spotware are best known for their flagship NDD and STP trading suite, cTrader, and its companion alg orithmic trading platform, cAlgo The company recently released its own mirror trading platform, cMirror Spotware provides an easily integrated PaaS Platform as a Service solution to brokers, banks, and other financial services firms looking to implement and offer manual, algorithmic and mirror NDD eFX MB Trading Futures, Inc RFED IB and member in stocks, futures, options, and Forex is speculative in nature and not appropriate for all investors Investors should only use risk capital when trading futures, options and Forex because there is always the risk of substantial loss Account access, trade executions and system response may be adversely affected by market conditions, quote delays, system performance and other factors All trademarks are the property of their respective owners Contacts All inquiries can be directed to David Lipsett. Spotware Systems have today announced the release of tick charts to their flagship NDD spot-trading platforms, cTrader and cAlgo. While conventional time - based charts plot a new bar or point according to a time-period value, tick-charts create the new bar after a set number of price ticks. Spotware have said that the release coincides with a surge in demand for tick charts from the cTrader user base. Alex Katsaros, product manager for cTrader, explained, This introduction of tick charts to cTrader will let traders scalp the markets at the highest possible level, which is unimaginable for users of competing platforms that don t support tick charts And we ve not only opened the door to new trading and analysis opportunities, but responded to one of the most popular feature requests we ve had in the last few months. We use trader feedback and market demand to define our development priorities, so we re excited to finally deliver this highly requested feature. Katsaros also stressed that the new feature can be used with any of cTrader s 4 chart types, saying Tick charts can be applied to candlesticks, bar charts, line charts, and the newly released dot-chart. Often used by technical traders due to their demonstrable correlation with market liquidity, tick charts have also been released to cAlgo, Spotware s algorithmic trading platform. Sergey Borisov, technical lead for cAlgo, was enthusiastic about its potential impact By being able to use tick charts as a periodicity parameter, we re letting algo traders take time out of the equation when creating their strategies, and instead use market volatility and inferred liquidity levels as a base for their code In the future, we also want to allow our users to reference both tick and price data from a single trading robot. Tick charts in cTrader and cAlgo can be set to draw a new bar at every tick or to display an aggregated view of up to 55 ticks for each bar. For further information, please contact. Simon Bolvig Spotware Systems Ltd Tel 45 8851 0093 Email. Spotware Systems, developer of the popular FX and commodities trading platforms cTrader and cAlgo, today announced that brokers who offer its product suite to clients can now manage netted and hedged accounts within a single environment. Ilya Holeu, Head of Sales at Spotware, says the financial technology firm has disproved the popular notion that cross-policy support within a single environment was unworkable Industry leaders had explicitly stated that this was too complex a proposition to be considered But our solution has managed to be the first to deliver this hugely useful capability. Brokers who serve clients in disparate regulatory regions can now do so without the hassle or expense of managing two or more environments. The changes won t affect interface or functionality, with the platforms retaining all execution capabilities and advanced features. As the entire product suite is delivered as a Platform-as-a-Service, hedged and netted accounts can also be made available to users of cAlgo, Spotware s algorithmic trading platform, the web and mobile versions of cTrader, and the upcoming mirror-trading platform, cMirror. cTrader, the STP trading platform from Spotware Systems has received a major overhaul of the way trades are displayed in the application The overall level of transparency has been greatly enhanced with a full breakdown of positions into orders trade requests from traders to the LP and deals LP execution reports. The new structure will also be available on cAlgo Spotware s algorithmic trading platform, and cTrader Web cTrader s twin HTML5 platform. Alex Ka tsaros, who heads the cTrader development team, explained This kind of position breakdown is a great way for users to see exactly what s happening with each trade, from opening click to closed position. New information windows provide traders an exhaustive set of all details relating to individual positions, orders and deals These details include exact matching times, fill times, and fill rates, while timelines at the bottom of the window show all related trading events in order of when they occurred. Market Snapshots are also shown for every deal These snapshots give users a precise view of market pricing and liquidity at the exact time of execution, helping them to understand why a deal was filled at the price it was, or why it may have been partially filled. Katsaros heralded the latest release as yet another step towards building trust between all counterparties This kind of itemization and depth of information for each trade isn t available on any other FX platform We ve added anothe r milestone in our commitment to extreme transparency, which we believe benefits not only traders, but brokers as well Of course, the principle is far from exclusive to financial trading - businesses all over the world are raising their efforts to be more transparent because they ve seen how well it benefits all parties. We can t wait for traders to finally get this quite fascinating view of their own trading, and we look forward, as ever, to lots of feedback. Our latest release includes new features that create a level of transparency unrivalled by any other platform. Reverse and Double. New Quicktrade buttons are available from the Positions tab With a single click, you can now double your position volume 100k Buy will become 200k Buy or reverse your position 100k Sell will become 100k Buy. Positions Tab The new positions tab gives you extra options and more information to help you manage your positions. There s a counter on the tab to show you the number of currently open positions, a search field and dropdown menus to help you filter your positions list, and new columns with additional information about each position. Orders Tab The new orders tab shows a counter on the tab of how many orders are currently trading, and a new search field and dropdown menus to help you filter your orders list. There are al so new columns that show you additional information on each order. History Tab The new history tab shows you complete, detailed history of every deal every executed trade. You can use search filters to find the deals you want to see, and open each deal in a new window to see detailed information. Transactions Tab The Transactions tab shows you a history of all your deposits and withdrawals. Position Info-Window Click the i button or double click on a position to bring up the Position Window. Information in this window includes the position s profit and loss, execution times, execution rates, swaps, commissions, and all events relating to the position. Order Info-Window Click the i button or double click on an order to bring up the Order Window. Information in this window includes price, volumes filled, times, initial take profit and stop loss, executed take profit and stop loss, related positions, expiry dates, total deals used to cover your order, and all events relating to the order. Deal In fo-Window Click the i button or double click on a deal to bring up the Deal Window. Information in this window includes price, volumes filled, related orders, relations positions, execution times, profit and loss, swaps, commissions, and a Market Snapshot, which shows you the exact pricing and liquidity available at the instance your order was executed. Position Event Timeline The position timeline shows you all events relating to the position in sequence You can see which orders were sent by the position, which deals were executed for the position, new status of the position as each order and deal comes through, charged swaps and commissions, and details for all stop and loss take profits that are hit or modified. You can also click on events to open more details in a new window. Order Event Timeline The Order Timeline shows you all events relating to an order in sequence You ll see the position that requested the order, every match made with the liquidity providers for your order, the de als that were executed through the order, and all order modifications. You can also click on events to open more details in a new window. Deal Market Snapshot The deal snapshot shows you a precise list of the prices and liquidity that were available at the exact moment your deal was filled, partially filled, rejected, missed, or encountered an error. This transparent view helps you make sure you are always being executed at the best available price, and to see why rejections may have occurred. Spotware Systems, developers of the FX platforms cTrader and cAlgo, have released details about their upcoming open API called Spotware Connect The project will help third-party application developers easily build their own cTrader systems, and integrate existing FX related products into the cTrader platform. Brian Martin, Vice President EMEA at Spotware Systems, said that the open API will allow for the creation and access of API capabilities as they are added We know that, just like any other softwa re business, we need to be open to third-party integrations There will be certain times at which users may want extra platform or analytic functionality, and Spotware Connect is about putting that power in their hands. We had 3 main principles in mind when we started this project The first was that it should be open to absolutely everybody You don t need to be a customer of a broker or anything like that Secondly, we ve made it extremely simple to start using, as we want to encourage people to really get going with this. Finally, says Mr Martin, once you do get going, Spotware Connect is relatively simple for even novices to grasp That was the point really, to make it as simple and user-friendly as a third-party developer application can be. FX platforms and third party plugins have been making FX news recently, with platform developers and third party technology providers often in disagreement over the legality of plugins and platform modifications. Stefanos Economides at Spotware Systems said that the company wanted to avoid such misunderstandings Our terms of service will as open as possible to encourage use The important emphasis we want to place on this is that for the first time, a genuine direct-access FX platform will be opened up to creativity, experimentation and new possibilities for the people who care most about FX trading. Spotware Systems Ltd, developers of the cTrader and cAlgo platforms, have won their claim to six domain names after a ruling by the World Intellectual Property Organization WIPO The decision found in favour of Spotware s case that the domains made unlawful use of the company s trademark. Acting on behalf of cTrader, London based solicitors Silverman Sherliker LLP issued the complaint to WIPO in December 2013 after finding that the domains in question were being used to publish sites that were identical to the official cTrader website , and were clearly intended to profit unlawfully from Spotware s globally respected brand. In a four page ru ling by WIPO, the body found satisfactory evidence that the domains and did in fact impinge on cTrader s intellectual property. Speaking after the ruling by WIPO, Mr Collins of Silverman Sherliker LLP said, We are satisfied with the WIPO decision that clearly upholds current intellectual property rights, and are glad that our client, cTrader, can now begin to rectify the consequences of these unlawful and intentionally deceitful actions. Ilya Holeu, the Managing Director at Spotware Systems, was glad the matter had been put to rest We are aware that these sorts of trademark infringements happen all the time to other market participants as well - bank, brokers and other tech providers We hope we have shown a good example of how to fight back without paying a thing to the bullying party that seeks to extort companies like ours. This case was as clear as day, and we re happy that the case has been settled We only hope that there was no confusion or damage caused to anybody unfortunate enough to have been taken in by these impostor sites Currently, our only legitimate website for Spotware products like cTrader and cAlgo is If we launch any other official sites in the future, we ll be sure to release a statement so as to avoid any repeat of the unfortunate ordeal. For further information, please contact. Simon Bolvig Spotware Systems Ltd Tel 45 8851 0093 Email. The highly coveted FX Person of the Year Award, conferred annually by to the most deserving game-changers in institutional and retail FX, has been awarded to the influential co-founders of Spotware Systems Ltd developers of the rising star of FX trading platforms, cTrader The award has gone to Andrey Pavlov and Ilya Holeu. On how cTrader is setting new industry standards, notes that the platform doesn t constrain the trader and force them to adopt all-in all - out or over-leveraged strategies Other advantages of the product are direct market access, mobile access, cloud hosting for algorithmic trading and the fact it is C programmable. The emphasis on transparency was underlined by co-founder Ilya Holeu Alignment of interests between trader and broker is just one of the beauties of agency model where finally the market maker becomes a broker The more profitable a trader is, the more volume he or she generates, the better for brokers and in the majority of cases even for price makers banks.40 brokers worldwide have adopted cTrader, one of several platforms developed and in the works for Spotware that include web and mobile interfaces for cTrader, and cAlgo an enormously powerful algorithmic trading platform Brokers who now offer cTrader and cAlgo have experienced volume growth that is driven by more sophisticated and therefore higher volume traders In certain instances, cTrader has gone on to overtake the key 50 mark for total trading volumes. Indeed, Andrey Pavlov, CEO of Spotware, puts the volume factor down as an important milestone in the company s short but effectual history When asked about some of the key events that determined the fast-paced propulsion of cTrader, Andrey Pavlov said, Surpassing 50 of some of our largest brokers monthly volumes releasing numerous charting and cloud features that the other platform can t even dream about cTrader Web our HTML5 front end surpassing 30 of overall volumes cAlgo s developer community growing to thousands of dedicated evangelists the fact that we signed 40 great brokers globally and the Spotware team growing to 70 exceptional experts whom I love and respect enormously. Quite a long list for such a young venture It s an indication of just how far this platform, and this company, have come in the short time they have been around cTrader is an NDD trading application that prides itself on complete transparency of no dealing desk execution, faster order fills, and a host of featu res that extend trading possibilities for end-users such as 3 depth of market types, click-and-drag order modifications, and continuous cloud-feature development. Details of what s in store for cTrader apart, it seems there is no stopping the ambition of this single-minded enterprise Asked about the immediate future of cTrader and Spotware Systems, Andrey Pavlov said, We are far beyond the other platform in terms of the feature-set, usability and philosophical appeal And we intend to strengthen that further in 2013.Andrey and Ilya said they would like to express the highest gratitude to their clients, who have been rewarded for the trust they placed in Spotware, and their talented team of developers and FX industry experts. cTrader ID Create your individual cTrader ID to receive email alerts and store your favorites in the Cloud. You can create and log in to cTrader ID using a Facebook account, or you can create a new cTrader ID account by using the Log In button at the top right of the p latform. Stay tuned for many great cTrader ID related features coming in the near future. You can now receive email alerts for important event and transactions. Log in to your cTrader ID. Click the bell icon from the QuickLinks toolbar. Choose to receive email notifications for Take profit hit, Stop loss hit, Pending order filled and Deposits withdrawals. Your Favorites symbol list will now be stored in the cloud, so you can access it from any computer after logging in with your cTrader ID. View your past trades in the chart From the chart view options, select Deal Map This will plot your entire trading history onto the Chart for that particular symbol. Select a Trade from this History tab in TradeWatch to highlight the corresponding trade on the Chart. Spotware Systems Awarded ISO 27001 Certification Press Release. Spotware Systems, a leading provider of eFX technologies and developer of the cTrader platform, today announced that it has successfully attained the International Organization for S tandardization certification ISO 27001 , earning the prestigious accreditation after nearly a year of independent, external assessments. The ISO 27001, the most stringent certification for information security controls, guarantees that ample information security controls and other forms of risk treatment are in place to prevent and defend against potential data system vulnerabilities The certification also ensures that the information security controls continue to meet security needs on an ongoing basis. Andrey Pavlov, Spotware Systems CEO, commented Brokers and banks especially are looking for increased assurances over the high volumes of data they are entrusting to us and other partners We re proud to have achieved this independent certification, as it demonstrates our level of commitment to implementing the tightest security controls, and the emphasis we place on the confidentiality and security of our clients electronic data. We strive to achieve excellence in all of its operations an d the ISO certification lays down a strong marker in our effort to deliver our clients the extra-mile levels of service and assurances they have come to expect from Spotware. Spotware has also recently received an ISAE 3402 report, issued by Deloitte in June 2012, which described and formalizes permanent control processes, their objectives and the procedures used when processing operations. Spotware s ISO 27001 was conducted under guidance from Deloitte for a period of one year from August 2011 to September 2012 The thorough assessment verified Spotware s compliance with ISMS policies and procedures, and its institutionalization of ISO standard practices across the organization. ISO 27001 requires that management. Systematically examine the organization s information security risks, taking account of the threats, vulnerabilities, and impacts. Design and implement a coherent and comprehensive suite of information security controls and or other forms of risk treatment such as risk avoidance o r risk transfer to address those risks that are deemed unacceptable and. Adopt an overarching management process to ensure that the information security controls continue to meet the organization s information security needs on an ongoing basis. London based financial technology company, cTrader also known as Spotware has announced that it has received a final report on its ISAE 3402 Type Iaudit, the best-practice standards report or assurance reporting on controls at a service organization. With an unerring focus on safety and quality assurance, cTrader has completed an audit of its controls, putting in place mature internal controls and measures to further enhance its position as the leader in robust FX STP solutions. Andrey Pavlov, CEO cTrader Ltd, said We re delighted to have achieved this recognition of the highest-standard controls we implement to safeguard our clients data for the range of Spotware products This serves to further strengthen our reputation for secure operational prac tice, and is another example of cTrader s commitment to respect the trust placed in us by our clients. The ISAE formerly SAS 70 Type I report is granted to companies who demonstrate a level of reasonable assurance over the control integrity of the processing environment and embeds a strong control culture. The report describes and formalizes the permanent control processes, their objectives and the procedures used when processing operations Achieved under the guidance of Deloitte, ISAE 3402 Type I also offers an opinion that system controls are suitably designed and implemented. For further information, please contact. About Spotware Systems Ltd. Spotware Systems is a London based neutral financial technology provider focusing on e-FX STP solutions, offering comprehensive solutions for brokers, banks and their clients. Spotware cTrader s team of over 60 highly qualified financial and technology experts provide an easily integrated PaaS Platform as a Service solution to broker-dealers, banks, and other financial services firms looking to implement and offer manual and algorithmic NDD eFX trading and a complete back-end management system. Custom Period Account Statements Statements of your trading and transaction history can now be generated for a particular time period. Click on the dropdown arrow to the right of the Statement button in the History tab. Select from a list of predefined time periods Current Month, Last 3 Months, etc or define your own custom time period. Your statements will be generated as an html file and the folder location will be opened as usual. Vertical Chart Scaling To vertically scale your chart, click anywhere within the Y axis of a chart and drag upwards or downwards Double click anywhere on the Y axis to reset the chart to its default scale. Highlighting Positions in Charts and TradeWatch Moving your mouse over a position or order entry in TradeWatch will highlight the corresponding lines on your chart and vice versa moving your mouse over a position or order line on your chart will highlight the corresponding position order in TradeWatch. New Detach Chart Button Charts can be detached by right clicking within the chart and selecting Detach Chart or by clicking the detach icon from the window. Keyboard Shortcuts A full list of keyboard shortcuts can be access by clicking the Keyboard icon in the Quick Links toolbar. More details in account list The accounts list now shows more details beside each account Leverage Type Demo or Live and Currency. Slow Connection Removes Market Depth When cTrader detects that your internet connection is slow, you will be unsubscribed from all depth of market information for all currency pairs. You can quickly resubscribe to specific currency pairs depth by clicking Resubscribe. cTrader will automatically resubscribe to depth of market for all currency pairs when your connection returns to normal speeds. cTrader releases Chart Trading. Chart Trading allows you to create and modify Stop Loss and Take Profit ord ers from directly within your charts You can now mouse over your Position line or Order line on the chart and drag the Stop Loss or Take profit to the desired level. Limit Orders and Stop Orders can be adjusted in the same way, by clicking and dragging the Order line to the desired entry rate. Other release notes. ChartShots are now saved to your hard drive in the My Documents folder as images. ChartShot configuration options can now be set from the preferences menu at the top right of the platform. To change how you view your ChartShots Select Show in Browser to have cTrader open the ChartShot URL or Show in Folder to open the folder containing your ChartShot on your local machine. An HTML file is created called indexing your locally saved files and ChartShots URLs The file is stored in the My Documents folder on your computer, and you can also access the file by clicking Show List in the ChartShot Configuration menu. cAlgo Your robot instance log now also records trade notifications generat ed by that instance of the robot. Hovering over a trend bar in your charts will change the Status Bar display, from current Trading Sessions to the Open, High, Low and Close prices of the trend bar, as well as its Date and Time. cTrader announces today the expansion of its sales team with four new additions at Director level. Steve Winters joins cTrader having spent his whole career in the FX industry, starting out at City Index He was a founding member of GFT Global Markets UK, managing its institutional and retail sales for almost 5 years Prior to joining cTrader Steve was the Managing Director of Currensee Ltd, one of the first players in the world of FX social networks. Brian Martin has over 30 years experience within the banking industry Brian started out as an FX trader working at Moscow Narodny Bank, Fidelity and JP Morgan before moving into Treasury Software at Misys Brian has travelled extensively, living in New York and Moscow whilst managing teams based in the USA, UK, China, In dia and Singapore Prior to joining cTrader Brian led a Global Treasury Team at Thomson Reuters focusing on the creation and distribution of high-value market data. Cameron Kim has spent over 10 years in various sectors of the financial industry, from convertible bond research to business development in retail and institutional FX He covered wide geographic regions from Asia to North America Multi-lingual and multi-cultural, Cameron developed Asian markets for MIG Bank in Switzerland Prior to joining cTrader he successfully created a North Asian institutional sales strategy for CMC Markets. Andrey Pavlov, CEO, cTrader, commented cTrader is delighted to welcome these new appointments to our Business Development team at a time of exciting growth for our business These senior and high calibre appointments demonstrate our intent to ensure that cTrader is the first choice for any brokers looking to offer their clients a direct-access STP platform With our cAlgo, cBroker and cServer options we offer an innovative and full-spectrum STP trading solution. For further information, please contact. cTrader is proud to announce the launch of cAlgo our new algorithmic trading platform for developing and trading with robots and custom technical analysis indicators. cAlgo s STP foreign exchange algorithmic trading platform offers powerful, fast and reliable automated trading in an easy to use, coding friendly environment. The trend is unmistakable traders are moving away from outdated and discredited dealing-desk brokers into next generation direct STP exchanges in search of increased market transparency and liquidity. cAlgo offers that transparency as well as distinct technological and advantages. Write indicators and robots using C and leverage the power of the platform. Use the integrated editor or Visual Studio to develop your code. Code on top of a simple, yet efficient API. Get started in hours not days using an intuitive UI. July 2011, cTrader Platform Updates. Traders will be able to tak e opposite sides of the trade for one currency pair at the same time Hedging The minimum trade volume size has been minimized to 10k. Chart template feature introduced Users can save and load their chart configuration colors, indicators etc. ChartShot screenshot of the active chart window will be immediately uploaded to a dedicated webpage, with unique URL, allowing easily share the image on social networks, by email, or by sharing the link. Stop Loss and Take Profit now can be easily attached to Limit Stop order creation screen. A possibility to configure manually Proxy setting will allow users to connect from corporate networks. Market Depth window height is adjustable to ensure, there s no hidden liquidity. Modify Indicators more easily, by clicking on the indicator name in the Indicator Object list on right click menu or chart preferences menu. These updates were mostly based on user feedback and discussion To share your opinions and ideas with us, click the Feedback in your cTrader conso le. May 2011, cTrader Platform Updates. In response to user feedback, cTrader is issuing the following releases. All chart settings and layouts are saved and appear unchanged upon cTrader client restart Settings include indicators, charts, time frames, chart types, layout, zoom level, viewing mode, colors, detached charts, position and objects. Users can now generate statements of their past transactions Deals in html using the statement button located in the History station. cTrader has two new viewing layouts, Chart Trading Layout and Charts Only Layout Users can cycle through layouts by clicking the layout change button on the cTrader preferences menu, or by pressing F11.Chart data is now cached in cTrader s Cache folder Chart loading times have decreased. Refresh chart option is available, when right-clicked on the chart. It s possible to remove a saved account from the account list To remove an account, mouse over the account on the drop down list of the accounts bar and click the x butt on The account will be removed from the list after a confirmation is provided Removing the account does not result in the account s deletion It s still possible for users to log in using a removed accounts credentials. Added a Help F1 main menu option When F1 is pressed or this option is clicked in the main menu, cTrader help file will appear on the user s browser. Users can see depth of market for multiple symbols that are saved in their Favorites. Minimize button now minimizes detached charts to the taskbar The x button of a detached chart will attach the chart back to cTrader s main console. Please continue sending your valuable feedback. cTrader is proud to announce a new partnership with FxPro. FxPro has become the first e-FX broker to offer its clients the fastest and most reliable platform on the FX market with cTrader. FxPro cTrader clients will enjoy. Removed conflict of interest Market depth with Level II Pricing for powerful insight into liquidity Lightning-fast execution speeds, ev en in volatile market conditions User-friendly platform interface. cTrader has taken all the advantages enjoyed by financial institutions and made them available for the first time to traders like you. cTrader will be exclusive to FxPro clients until December 2011.Demo Live Demo Live Demo Live. Demo Live Demo Live Demo Live. Demo Live Demo Live Demo Live. Trader and broker interests can be aligned. Traders deserve execution transparency. Scalability should not cost you a new license. FIX is the standard bridges are a crutch. Copyright 2017 Spotware Systems Ltd cTrader , cAlgo , cBroker , cMirror All rights reserved. The services provided by Spotware Systems Ltd are not available to citizens or residents of the USA Neither is the information on our websites directed toward soliciting citizens or residents of the USA. Trading strategy using bid ask size 60 Seconds Binary Options Trading. Manner by robmeister, the portfolio becomes much more Makers Of any trading is required to Manage risk raise bid and sell futures and The price On the trading since it is determined in the size You can use a forty cent wide askprice bidprice and make the nasdaq uses adaptive take a market prices Stock s trading strategy, Required to short term trading process. 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There are no identical trading strategies when it comes to binary options Each trader analyzes the market in his own way, and a strategy that might work for somebody could be a complete failure for another trader This is why every person that wants to be involved in binary options auto trading must establish a strategy that suits his style and preferences. How to find The Best Binary Options Auto Trading Software. Metatrader is known as the most important trading platform, which is commonly used by investors from all over the world to establish a smart trading strategy A strategy of this type must be composed of several automatic strategies, so the investor would have a backup plan in any situation Respecting the stages of this method is important You can s start building a house with the roof The trading strategy must consider all the situations in the market, but also to be simple Otherwise, you might not understand what the essence of your trading is Choose only the strategies that you are used to, strategies that you can easily respect. Each case and scenario must be treated separately In case the value of stocks of your favorite company shrinks, you will need to take an action, but in case the same stocks grow unexpectedly, you will need another strategy This is why you might need to help of a Binary Options Auto Trading Software, which would make sure that you are prepared for any type of situation. The Importance of free Trading. Before investing real money in binary options, it is important to test your strategies with the virtual platform This way, you can establish some options auto trading, and you can see if those are effective Moreover, you can use this free platform to adapt and modify your strategies, even if those are successful, as a strategy would only work for a while Later, you will probably discover that the strategy is not effective, or that it needs to be adapted to the new demands of the market. Metatrader in Binary Options has a huge importance, with a few considerations. It is not that cheap If you decide to buy it, you will have to be determined to learn it Otherwise, your investment would be in vain. Make sure to understand the characteristics of the market Metatrader is hard to learn, but once you understand it, you will be able to use it to anticipate the moves of the market, and to take your decisions based on the projections made by this program. Read guides and resources Metatrader can be learned with the help of guides and resources on the internet, but there are also specialized courses that could make you understand the importance of one trading strategy or the other. How to be tidy in Trading. One of the most important aspects about smart trading is being tidy You will probably have many documents and data to analyze, and you will need to keep those in strict order This way, you will have all the needed details at your disposal all the time, and you will be able to adapt your trading strategy to any particular situation. With the options Auto Trading Software, it would be a lot easier for you to create such strategies, and to develop other smart ideas. Those are important advi ces especially for beginning traders Before starting the actual process of trading, you should establish some objectives Why do you need trading for Do you want to become rich in one hour You are trading only for fun or out of curiosity Maybe you want to learn the art of a thrilling and lucrative initiative It is an important decision that you must take from the start. Other Binary Trading Advices. Try to feel the movement of the stocks, which is exposed in graphs and charts Exercise your anticipation and flair on different charts monthly, daily and even yearly Each one of those strategies is suited for a certain type of trading, and this is why you must determine your characteristics as a trader are you one of those fast-hit traders that are able to make one million dollars in a day, with the risk of losing everything However, you can also be the type of preventive trader, which analyzes every transaction many times before placing an order This type of trading brings smaller but safer i ncomes to the people that use it. Create your own strategy, which must be simple and verified with historical data Only this way, you will have a competitive advantage in front of other traders A simple strategy is more adaptable to any kind of situation. Take your own decisions You are responsible for your results, and this is why it is important to listen the advices of others, but not necessary to follow those. Forex trading journal template invest in rental property or stock market. 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DPS continues to offers alternative advisory services as well as serving as a consultant for professional investors. A Simple and Effective Price Action Trading Setup. Observing price action is the simplest way to trade. Yet, many price action trading setups are not simple at all, requiring interpretation of complex and subjective chart formations. The worst part is that traders often memorize price action trading setups without understanding the concept behind them. In this article, we will introduce a simple and effective price action trading setup Trend Bar Failure. Basic Definitions For Price Action Trading. In price action trading, higher highs and high lows show an upward trend Lower highs and lower lows show a downward trend. In our examples, for simplicity, we will be using the slope of the 20-period EMA as our trend filter. You are free to use your own methods and discretion to find the trend Some of the more popular trend tools are moving averages and the ADX indicator. One tip for identifying trends trends are obvious When it is doubtful whether the market is trending, it is not trending. A trend bar is one that represents a trend on a smaller time-frame It opens and closes on opposite ends of the bar. A bull trend bar opens near its low and closes near its high A bear trend bar opens near its high and closes near its low. What does a trend bar mean. It means that traders h ave committed to one direction Remember that in every bar, the number of contracts sold and bought are the same The only reason for a bar to end up with a higher price is that the buyers were more aggressive than the sellers The reverse is true for a bear trend bar. How does a trend bar look like. While we can identify trend bars subjectively depending on the market context, I prefer a more objective measure A trend bar has a body that is greater than 50 of the entire bar range. These premises set the stage for this price action trading setup and explain its concept The explanation below is for a bull trend The reverse is true for a bear trend.1 Trends tend to continue. This is one of the principles of technical analysis As trends tend to continue, our edge lies in following the trend.2 Trend bars against trend hint at the entry of counter-trend traders. In a bull trend, bear trend bars represent counter-trend traders trying to reverse the trend The committed bearish traders are counter-tre nd traders.3 The trend continues as counter-trend traders fail in their attempt to reverse the trend. According to our first premise, the trend is more likely to continue than to reverse Hence, it is likely that the counter-trend traders are wrong The bearish trend bar is likely to fail without significant follow-through. As the counter-trend traders realize that the bull trend is not reversing as they anticipated, they will cover their short positions and might even reverse to buying. The Trend Bar Failure Trading Setup. Following the premises above, the entry for a trend continuation trade takes place when a trend bar against the trend fails. If a trend bar is not followed by another trend bar we should prepare ourselves for a Trend Bar Failure.20-period EMA is sloping up or if your trend assessment is bullish. Low of bear trend bar broken without forming a second bear trend bar. Place a buy stop order above the high of the bar. Cancel order if not triggered within one bar. Rules for Short.20 - period EMA is sloping down or if your trend assessment is bearish. High of bull trend bar broken without forming a second bull trend bar. Place a sell stop order below the low of the bar. Cancel order if not triggered within one bar. Trade Examples ES Futures 5-Minute. We have marked the trend bars in the charts Bull trend bars with green arrows and bear trend bars with red arrows. A strong bearish bar followed by a bullish reversal bar It had good potential, but the buy order placed at the high of the bullish reversal bar was not triggered. A bearish trend bar tested the EMA without much follow-through The bull trend bar triggered the buy stop order, and led to a profitable trade. This bear trend bar was also an inside bar The two failure trades failure of inside bar and trend bar led to the 6 consecutive bull bars. Although the bar after the marubozu was not a bear trend bar, its high was not broken and our buy order was not triggered. We cancel orders if they are not triggered within one bar This is because the best trades happen quickly like a knee jerk reaction By cancelling orders that are not triggered swiftly, we are avoiding the second best trade and taking only the very best trades. Trade Examples Ameren Corp Daily. You can use this price action trading setup for swing trading as well. A doji broke the low of the bear trend bar However, the buy order was not triggered. An irresistible trade, with the an outside bar hitting our buy stop order after testing the EMA. The strong bear trend bar had little follow-through, but the buy order was not triggered. Trade Example EUR USD Weekly. Price action trading setups work well in the forex market. The bear trend bar failed with a bull trend bar This pattern is also known as the pipe pattern. This trend bar failure was also an inside bar failure However, the signal bar was a doji and not ideal. The bear trend bar had limited follow-through Although this trade was profitable, prices went sideways before resuming the trend A more conse rvative trader would have exited during the sideways congestion. Trade Example SPDR SP 500 ETF Monthly. This simple price action trading setup is robust enough for long-term analysis as well. The bear trend was also an outside bar This meant that the bears overwhelmed the bulls in that bar However, the next bar was bullish reversal bar This was good trade with a nice follow-through However, it might end up as a loss if our targets were further. Another nice pipe pattern that tested the EMA. The Trend Bar Failure trading setup is extremely simple and versatile It is the ideal starting point for price action trading. The basic premise is the trapping of counter-trend traders However, it manifests in different forms like inside bar failure and the pipe pattern. As shown in the many examples above, you can use this price action trading setup in time-frames ranging from intraday trading to longer term monthly analysis. Many traders go around searching for that one perfect trading strategy that work s all the time in the global FOREX foreign exchange currency market Frequently, they will complain that a strategy doesn t work Few people understand that successful trading of the FOREX market entails the application of the right strategy for the right market condition.7 Winning Strategies For Trading Forex covers.- Why people should be paying attention to the FOREX market, which is the world s largest and most liquid financial market.- How understanding the structure of this market can be beneficial to the independent trader.- How to overcome the odds and become a successful trader.- How you can select high-probability trades with good entries and exits. Grace Cheng highlights seven trading strategies, each of which is to be applied in a unique way and is designed for differing market conditions She shows how traders can use the various market conditions to their advantage by tailoring the strategy to suit each one. This revealing book also sheds light on how the FOREX market works, ho w you can incorporate sentiment analysis into your trading, and how trading in the direction of institutional activity can give you a competitive edge in the trading arena. This invaluable book is ideal for new and current traders wanting to improve their trading performance. Filled with practical advice, this book is a must-read for traders who want to know exactly how they can make money in the FOREX market. This item is Non-Returnable.7 winning strategies for trading forex. Published April 22, 2015 by Filed under Uncategorized Total of no comments in the discussion. 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Hi - I wanted to know if any one knows of a software package that allows you to backtest strategies ie iron condors and then add a another trade to it and see the risk graph visually. I have tested the strategy on TOS but unfortunatly thinkback does not allow you to see the risk graph visually on their backtester I was thinking of purchasing option vue but it seems expensive Any help much appreciated. If you are familiar with the workings of options, I would like to recommend straddleplanner. This is a free online option calculator where you can analyse option strategies. Although it has not got a graphical interface, you can see the P L of your strategy with up and down price intervals and you can change the portfolio date to see how the value of your strategie evolves in time. Currently, there are more than 400 trading platforms or brokers This was not the case in 2008 when binary options trading started since there were about 10 trading platforms The emergence of many brokers has been good since it has created high competition, which is beneficial to investors in terms of more bonuses and high returns. Binary Options Broker Comparison. When you start trading in binary options one of the most important decisions is in choosing the right broker This is a task we have made easy for you since we have looked and tested for the most reliable and best brokers and included them on our binary options broker comparison. Browse our website with full confidence, we provide most reliable, accurate and up to date info about brokers from all over the world. Get started with 3 easy steps. Choose a broker from the list below. If you are a US resident, you should select any of the brokers accepting US residents under the US flag. Binary Options Trading Requires Very Little Experience. The common misconception is that binary options trading can only be done by one that has a certain amount of experience in the area There is no requirement to have any previous experience in financial trading and with a little time, any skill level can grasp the concept of binary options trading The basic requirement is to predict the direction in which the price of an asset will take The price will either increase call or fall put Successful binary options traders often gain great success utilizing simple methods and strategies as well as using reliable brokers such as 24Option. How to minimize the risks. Our goal is to provide you with effective strategies that will help you to capitalize on your returns These are simple techniques that will help to identify certain signals in the market that guide you make the proper moves in binary options trading Risk minimizing is important for every trader and there are a few important principles tha t aim to help in this area Binary options trading can present several risks but to decrease them, take the following into consideration. Review the dynamics of your trading asset prior to investing. Exercise the strategy by investing only 5 to 10 percent of your equity per placement. There are several assets to select from in binary options trading However, the oldest and most effective approach to minimize risks is to focus on a single asset Trade on those assets that are most familiar to you such as euro-dollar exchange rates Consistently trading on it will help you to gain familiarity with it and the prediction of the direction of value will become easier There are two types of strategies explained below that can be of great benefit in binary options trading.1 Trend Strategy. A basic strategy most adopted by beginners as well as experienced traders This strategy is often referred to as the bull bear strategy and focuses on monitoring, rising, declining and the flat trend line of the traded asset If there is a flat trend line and a prediction that the asset price will go up, the No Touch Option is recommended. If the trend line shows that the asset is going to rise, choose CALL. If the trend line shows a decline in the price of the asset, choose PUT. This method works the same as the CALL PUT option except in this case, you select the price at which the asset must not reach before the selected period For example, Googles share price is 540 and the trading platform is on the No Touch price of 570 with percentage returns of 77 If the price doesnt reach 570 after the specified time, then there is a gain.2 Pinocchio strategy. This strategy is utilized when the asset price is expected to rise or fall drastically in the opposite direction If the value is expected to go up, select CALL and if its expected to drop, select PUT This is best practiced on a free demo account from one of the brokers. This strategy is best applied during market volatility and just before the break of important news related to specific stock or when predictions of analysts seem to be afloat This is a highly regarded strategy utilized throughout the global community of trading This is a strategy be st known for presenting an ability to the trader to avoid the CALL and PUT option selection, but instead putting both on a selected asset The overall idea is to utilize PUT when the value of the asset is increased, but there is an indication or belief that it will being to drop soon Once the decline sets in, place the CALL option on it, expecting it to actually bounce back soon This can also be done in the reverse direction, by placing CALL on a those assets priced low and PUT on the rising asset value This greatly increases chances of success in at least one of the trade options by producing an in the money result The straddle strategy is greatly admired by traders when the market is up and down or when a particular asset has a volatile value. Reversal Strategy. This is indeed one of the most highly regarded strategies among experienced binary options traders across the globe It aims to lower the risk factor associated with trading and increase the chances of a successful outcome that results in positive profit gains This strategy is executed by placing CALL and PUT options simultaneously on an individual underlying asset This is especially beneficial when trading on assets with fluctuating values Naturally, binary options can experience two possible outcomes and trading on a two for two opposite s predictions over an individual asset at once, guarantees that at least one will generate a positive outcome. This strategy is commonly known as Pairing and most often used along with corporations in binary options traders, investors and traditional stock-exchanges, as a means of protection and to minimize the associated risks This strategy is executed by placing both Call and Puts on the same asset at the same time This assures that regardless of the direction of the asset value, the trade will generate a successful outcome This provides the investor with profits of an in the money outcome This is a great means of protecting yourself as an investor in whichever scenario is produced It s sort of an insurance method that prepares you for any scenario. This strategy is mostly utilized during stock trading and primarily by traders to helm gain a better understanding of their selected asset This increases their chances of accuracy in the prediction of future price changes This approach involves conducting an in-depth review of all of the financial regards of the company This info should include earnings reports, market share and financial statements This review helps the trader to better understand the previous activity of the asset and its reaction to certain financial or economic changes This review helps the trader to make a strong prediction under familiar circumstances in future trading strategies Keep in mind, th at using a good binary trading robot can help you to skip these steps completely. The best way to practice is to open a free demo account from one of the brokers. Strangle Straddle Option Trading Strategies. Most of the articles here have talked about the importance of using various strategies to become successful at binary options trading Different traders are comfortable using different strategies but that is not a problem as long as the strategy you are using is producing profitable trades on a regular basis If your strategy is not working then you should experiment with other ones Two fairly popular strategies that work well are the Strangle and Straddle strategies. So you know there are a lot of different trading options It s up to you to experiment with small trades to see how each works and if they are an understandable and profitable tool to put in your options trading toolbox You can stick with simple strategies, such as just buying options or you could get involved in more comple x trades where you do things like selling options before their expiration. It is just a matter of how much time and effort you are willing to put into your trading Strangle and Straddle strategies fall into the more complex area of binary options trading, but they are popular strategies none the less. Strangle strategy starts out by you simultaneously placing put and call options on the same asset that are set to expire at the same time It may seem a bit odd to do this, but it is allowed under the rules of binary options trading It can also be a very profitable strategy if you initiate it in the right way backed with good technical analysis. Banc de Binary is giving away 3 risk free trades. As with most trades, Strangle trading is very dependent on being able to make accurate assumptions about price movement and the direction it is trending. The Strangle strategy works best when you buy your options at points where you feel your target asset should start significantly moving don t put any e mphasis on small price movements This significant movement can be upward or downward trending. Once you have purchased your options under this strategy, you will now have put or call options with different strike prices The key to generating profits with Strangle strategy is to be able to predict price release in a specific border corridor If you were wrong in your trade forecast, the only thing you should lose is the amount of the premiums that you paid to buy the options. Straddle strategy is a sister strategy to Strangle strategy and they are extremely similar The only difference is when you initiate the trade, you place options on each trend that have the same strike price, not different strike prices like the Strangle strategy. Each strategy has its advantages and disadvantages Straddle strategy is cheaper to use, but it is also potentially less profitable Once again, the method you choose to use usually comes down to which method you are comfortable using and is generating profits f or you. Start trading now by opening a FREE account on one of our recommended brokers. The Best Binary Option Brokers. Binary Option Robot. Are you not getting the results that you want from your trading and are you unsure of what trading strategies to use This is where the Binary Option Robots come in and help you to maximize your trading profit We will help you to choose the best Binary Option Robot in the market. What is a binary option robot It is software that you can program to automatically make certain types of trades for you The software is conveniently menu driven and very easy to use Quite frankly, when we used the software the first time we were very impressed at how easy it was to use and how well it worked The software usually comes available in two editions a basic version that is free to use or a VIP version that has many additional features that are not found on the basic version. It takes just 3 easy steps to get you using the binary option robot in no time Once you have do ne that, you are ready to make trades based on the robot s sophisticated algorithm The programs even let you decide what risk level you want to have So read further and see how binary option robots can help you to maximize your binary options trading profit.1 BinaryOptionRobot Review. While performing a review of the software, we were impressed by its ease of use and its exceptionally unique offerings We have found in the past that automated trading software usually requires a trader to be trading in an active fashion while also being on the internet. The software allowed us to trade even when we were not online and actively trading We had options which, when properly configured, allowed us to set the maximum number of trades we wanted to complete on a daily basis, how much we were willing to risk in trading, what level of maximum daily loss we were comfortable with and which assets we wanted to trade BinaryOptionRobot is the perfect and the best binary options software to help traders p rofit in a very smooth way.7 Binary Options Rating. Using the Software. We were pleased with how easy it was to start using this 100 automated trading Robot All we did was input the amount of risk we wanted to take with the money we were depositing into our free account The account set-up process was extremely simple, only requiring a few fields of personal information and then choosing the broker like that we wanted to use However, one of the most appealing features was the fact that the tutorial was available to review and we even had access to a live customer chat line if any issues were encountered but we did not have any. Binary Trading Trend Lines Strategy. Now that you are becoming an expert at identifying trend lines and how they work, it s time to take the next step and learn how to use them as part of your binary options trading strategy If you learn how to do this efficiently and accurately it can lead to very successful binary options trading, but the opposite is also true and not knowing how to use trend lines strategically can lead to making many poor binary option trades. Why is the use of trend lines a good strategy move for trading That is because trend lines are a very useful and strong indicator tool to identify price movement this is extremely important in binary options trading because you will win or lose on your trade based on the way the market trends after you place a put or call Trend lines are also very useful in identifying both undersold and oversold conditions too Remember that you will place call trades in oversold markets and put trades in undersold ones. Many binary options traders regard trend line strategy as simplistic and feel they require little knowledge to use, but assumptions like that can get you making bad trades in no time and keep you from making the profit that you should be if you knew more about trend line strategy This is not only true for trend line strategy the more in depth knowledge you have of analysis tools and their use, the better chance you have at being a successful trader in any market. Don t confuse the simplistic nature of binary options trading with being easy to predict, that is hardly the case So even though they involve just correctly picking the right direction price movement will go over time, there is still a lot of analysis and strategy that goes into this win lose only situation That is why successful analysis using trend line strategy is so important to making your binary options trades profitable. There are two key concepts that need to be introduced to you in regards to trend line strategy they are support lines and resistance lines Support lines have to do with a line that is drawn through the lower end of price extremes As you can probably guess, resistance lines are drawn through the upper ends of price extremes A support line does just that, it indicates that it would be very unusual for a price to fall below that level A resistance line means that it would be very unusual for price movement to go above it. The space in between these two lines is what has become to be known as the price channel Most traders will assume that only on the rarest of circumstances will price break out of the price channel in either direction That is why many binary options traders will place put options when an asset price gets close to a resistance line and call options when an asset price gets close to a support line. Simplistic yes, but it is a strategy that proves to work on a regular basis. Start trading now by opening a FREE account on one of our recommended brokers. Recommended Binary Option Brokers. Binary Options Trading Broker Reviews. Since 2008, investing in binary options has become attractive to investors and individuals who invest in shares equities, currencies and commodities There are only two options in binary trading hence the use of the term binary It is nearly analogous to placing a bet, in that you are wagering that an asset will increase or decrease in value over a set period of time They provide options for the market to self-regulate and are a way to rein in overrated stocks by speculating that a company will see a decrease in its value. In binary options trading you are betting that the price of a specific asset will move up or down in a set period They give you the luxury of knowing your risk and return up front, before the trade ever takes place Binary trading is an excellent way to get into the market without a large outlay of capital or capital reserve required Take advantage of the information offered on 7binaryoptions to get a better understanding of binary options and forex trading. Get started with 3 easy steps. If you are a US resident, you should select any of the brokers accepting US residents under the US flag. encyclopedia of trading strategies. The Encyclopedia of Trading Strategies is for traders who want to take the next step to consistently profitable trading The authorsthemselves seasoned veterans of. Quantpedia The Encyclopedia of. The Encyclopedia of Quantitative Trading Strategies turn academic research into financial profit. Trading strategy Wikipedia, the free. Types of trading strategies The term trading strategy can in brief be used by any fixed plan of trading a financial instrument, but the general use of the term is. Amazon Customer Reviews The. Longs and Shorts. A Bit More Terminology. Offsetting Option Trades. Expiration, Exercise, and Assignment. American versus European. Delta-Neutral Trading In a Nutshell. Seasonal Patterns in the Grains. Volatility Skew What Is It and How Can I Use It. Some Words of Warning about Naked Writing. The Relationship between Volatility and Price. CHAPTER 4 The Option Traders Arsenal. Buying Nearby Options The Swing Traders Perfect Tool. Debit Spreads The Calm Approach. Strategies for Trending Markets. The Horizontal Spread A Good Strategy in a Sideways Market. Credit Spreads Say Dont Go There. The Backspread A Directional Strategy that Costs Nothing If You Are Wrong. Covered Writing Enha ncing Your Returns. LEAPS An Alternative to Stock. The Synthetic Another Alternative to Stock. 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Forex trading simulator is one of the software that enables one to go back in time and buy or sell currencies It feels as if everything is happening in real world But actually, people play with virtual money It indirectly saves a lot of money as people are confident while they go for actual forex trading They decide based on their simulator experience One can really loose lot of money if decisions are not based on good understanding and practice Simulator also testifies one s strategic decisions made while buying and selling currencies This is a tool to educate one to expertise on strategies applicable for real world forex trading In general it takes nearly six months to fully understand all scenarios of the simulator and trading The efforts must be disciplined and as guided by the program to get full out of the software. Basic feature in currently available simulators is it allows user to log his trades using screen shots for further future analysis This feature enable user to improve his trading pe rformance He can compare screen shots to evaluate his performance He can add comments to a snap shot Another feature is to draw fibonacci retracement, times zones, basic trend lines along with plotting multiple time frames These are important to foresee trends and possibilities There are various indicators like RSI, MACD, stochastic oscillator, CCI, moving averages, Darvas boxes and daily weekly pivot points that can be used for analysis Countries economic data coming out as announcements or news is a big market mover Forex Simulator software providers offer options to enable the software react to economic news announcements User may subscribe to software data downloader He can gain further knowledge on how currencies move on specific economic news flow As he gets more familiar with the simulator, he starts understanding trading signals and recognizes patterns This is a perfect tool advised to all who are starting as well as actively doing forex trading. 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Stocks Corner A GUIDE to intra-day TRADING. Updated on February 18, 2013.We asked readers to mail their queries about stocks they want to buy, sell or hold Here s the response to their queries. Narendar Lokwani of StockFundoo advises about good, bad and ugly stocks. Can you please guide on intra-day trading Which are good stocks to trade on intra-day basis Also some tips on trading would be helpful. I ntra-day trading is a challenging task and an aspiring trader should have the infrastructure ready before jumping in this business Things to do before you start trading. G et fast trading terminals like NSE NOW or ODIN f rom your broker Nowadays almost all brokers offer these terminals used by professional traders Since intra-day trading is all about speed and precision, web page-based trading sites would be slow for you to quickly enter or exit a stock Trading Terminals such as NSE NOW or ODIN help you to enter or exit a stock with just one click. I t s imperative to get access to live intra-day trade data when you decide to trade markets on an intra-day basis A lot of traders use free web sites which provide delayed quotes or rely on broker s data, but you won t be able to draw good quality stock charts and technical indicators using free web sites or delayed quotes It s worthwhile to pay small fee to get access to high quality live intra-day data to trade successfully and have that extra edge. T rade a small number of stocks everyday and remain in your comfort zone There are 160 stocks in the FO segment of NSE, but a trader should focus on maximum 10 stocks to trade on intra-day basis It s not a good idea to move from one stock to another as you lose focus and probably end up trading stocks which are new to you and don t fit with your trading style and strategy Pick 5-10 stocks beforehand and trade just those to make money. B ack-test, back-test and back-test Importance of developing your strategy and back-testing it thoroughly can t be taken lightly One should adopt only a handful of trading strategies and remain faithful to your strategy even when chips are down It doesn t help to change your trading style and technique everyday or as soon as you hit a stop-loss Paper-trade your strategy for at least a 6-month period, so that you have 1 to 2 robust strategies and remain loyal to your strategy to make money consistently. M oney management is imperative and is most important factor for you to remain in this business for long Treat intra-day trading like a business and risk only a small amount of money, preferably 2 per cent on each trade Meaning you can take a trade with your entire capital, but your stop-loss and net loss on each trade should not exceed 2 per cent of your total account This means that it will take 50 back-to-back losses to wipe out your account, which is almost impossibly Lot of beginners bet their entire account with a single trade and wipe it out in a few trades thus getting out of trading before they could learn it well Trade safe, trade long, trade profitably. Disclaimer This article is for information purpose only This article and information do not constitute a distribution, an endorsement, an investment advice, an offer to buy or sell or the solicitation of an offer to buy or sell any securities schemes or any other financial products investment products mentioned in this article or an attempt to influence the opinion or behavior of the investors recipients. Any use of the information any investment and investment related decisions of the investors recipients are at their sole discretion and risk Any advice herein is made on a general basis and does not take into account the specific investment objectives of the specific person or group of persons Opinions expressed herein are subject to change without notice. StockFundoo provides insightful and in-depth capital markets analysis Powered by fundamental deep value investing and technical analysis, we offer detailed stock analysis updated on a daily basis. Stocks Corner A GUIDE to intra-day TRADING. Updated on February 18, 2013.I have one query regarding Jubilant Foodworks I am holding the stock from Rs 750 In last one month it has corrected almost 25 per cent from Rs 1397 high Can further investment be done at current levels, or shall I wait for further fall Since fundamentally it s an excellent bet, but still trading at rich valuations of 54-55 PE Please suggest. Narendar Lokwani Jubilant Foodworks is a concept stock, and these stocks when they are in market s favour, do not seem to mind valuations The stock is currently trading at a huge Rs 7,250 crore market cap and 55 PE-ra tio and still trading very strong. Jubilant Foodworks operates Domino s Pizza brand with the exclusive rights for India, Nepal, Bangladesh and Sri Lanka The company operates 515 Domino s Pizza Stores and is the market leader in India for the organised pizza market with a 62 per cent market share and 70 per cent share in the pizza home delivery segment. Dunkin Donuts was the second global brand that the company launched recently Firm has 7 Dunkin Donuts restaurants in India and is poised to grow this number Dunkin Donuts is the world s leading brand for Donuts, baked goods and coffee, bagels and muffin categories. Looking at charts, the stock received good support at Rs 1025 levels from where a good double bottom has formed on EoD charts Rs 1250 is the next resistance point and can be achieved in few days time However, if Rs 1025 breaks, one can see lower levels of Rs 730 as well So, further investment is slightly risky though one can hold the stock with Rs 1025 stop loss. Stocks Corner A G UIDE to intra-day TRADING. Updated on February 18, 2013.I have many shares of Kirloskar Electric bought at a price of Rs 312 Now, the stock has fallen to unimaginable levels What do I do Can u please help. Narendar Lokwani Kirloskar Electric Company KEC is one of the leading Indian electrical engineering companies and was established in 1946 KEC produces more than 70 products under eight product groups for core economic sectors such as power generation, transmission distribution, transportation, and renewable energy. KEC comprises nine manufacturing locations and 34 sales offices spread across the country They also acquired a German firm Lloyd Dynamowerke LDW which will strengthen their business. If you see the last 5 quarter s revenue details, top-line has been stagnant at around Rs 200 crore per quarter and EPS has been inconsistent a bit Probably declining profitability is one of the reasons that stock price has been stagnating as well. Promoter shareholding has been consistent at 49 29 per cent and firm is now trading at low market cap of Rs 105 crore, so it is severely undervalued like lot of other mid-cap and small-cap firms in the markets recently There is no need to sell your holdings at a loss, though high price range of Rs 312 is unlikely to appear You can look at averaging when the firm gets back to a decent growth path Price level of Rs 68 is possible in next 12-18 months. Stocks Corner A GUIDE to intra-day TRADING. Updated on February 18, 2013.Please advise me on the following stock I am in deep loss I have 1000 Kesoram Industries Rs162 per share Now, the stock has fallen to Rs 105 levels What do I do. Narendar Lokwani Currently the Indian stock market is divided in two distinct groups On one hand you have companies such as large caps and top Nifty firms like ITC, TCS, HUL etc which are beyond their all time highs, and on the other hand, you have forgotten mid-caps and small-caps which are trading at their 5 year and 10 year lows. Market seems to have adopted a risk-off approach for small-caps and most of the investment money is seriously getting invested into only the handful of top 50 stocks, ignoring the next 500 odd good quality scrips. Kesoram Industries is the flagship company of BK Birla group and is a ninety-year-old firm doing business in variety of segments such as cement, tyres, tubes, rayon, paper, pipes and heavy chemicals The firm has not been profitable from past two years, which has taken a toll on its share price and market cap, which sits at a lowly Rs 465 crore for a firm with over Rs 5000 crore of annual revenues. The firm has huge debt of Rs 4000 crore and is trying to reduce its debt to a more reasonable level Promoter shareholding is less at 27 per cent, though private corporate bodies are increasing their shareholding from 10 6 per cent to 13 9 per cent in recent two quarters Firm has been a regular dividend paying entity as well. Technically speaking, Rs 84 is a recent support and it can be revisited as well Next set of resistance levels are at Rs 145, Rs 175 and Rs 235 which could be revisited in next 12 months time-period. Stocks Corner A GUIDE to intra-day TRADING. Updated on February 18, 2013.I have 200 Transformers and Rectifiers Rs 256 per share I am in deep losses in this stock Please advice. Narendar Lokwani Transformers Rectifiers has a good position in Indian transformer industry as a manufacturer of a wide range of transformers This firm also exports to developed countries such as Canada and UK, in addition to catering to the domestic Indian market TR has the capability to develop world-class power, distribution, furnace and specialty transformers and boasts of world-class infrastructure at Changodar, near Ahmedabad Firm deals in power transformers, distributor transformers, rectifier, furnace and reactors as well. With Dec 12 results, the firm is back in profits, though slump in revenue was evident in past 2 quarters Firm has clean balance sheet with low debt, and best part is very high promot er holding at 76 82 per cent which is hallmark of a great company Current market cap at Rs 133 crore is very low for this firm and current price is a good price for you to average and hold for longer term. 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SignatureMD Physician Dr Bob Saltman, MD. Everything thats frustrating about traditonal medicine ceases to exist. New Story everyday for Intraday. But if you are good at reading graphs and can closely observe the nature of plots for the target scripts it can help you but not on every date of the calendar Apart from this you should keep yourself updated about the current happenings during the Intraday as each news of national or international importance has something in it which can change the flow Based on the news you can assume what the game will be like in the remaining hours CAUTION HIGH-EX NEEDED. Now talking about scriptwise. SMALL CAP shares aren t that much volatile or dynamic majority of the if you are looking for small profits and a win win kind of situation this might help you. Mid cap and Big Cap or Large Cap shares are dynamic Their flow can sometimes be compared to that of River Ganga Yeah the violence part indeed. There are many theories which might help you in reading the plots Such as checking candles and resistances You can google them. Oops That page cant be found. It looks like nothing was found at this location Maybe try a search. My patients say, If I had known it would be this good, I would have helped you set up this practice years ago. SignatureMD Physician Dr Jim Williams, MD. Im finishing my fourth year with SignatureMD Everybodys happy My staff is happy All of my patients are happy Im happy. With concierge medicine, you get to practice medicine the way it was meant to be practiced. SignatureMD Physician Dr Bob Saltman, MD. Everything thats frustrating about traditonal medicine ceases to exist. The cost of trading forex. Before reading this lesson, you should have previously read through. What is the cost of trading forex. The cost of trading is the overall expense that a forex trader has to incur in order to run their trading business There are optional costs for things that the trader may wish to purchase, such as news services, custom technical analysis services and faster connections, and compulsory costs which are expenses that every trader must pay. The cost of trading is the overall expense that a trader has to pay in order to run their trading business. For every trade that you place, you will have to pay a certain amount in costs or commissions for each trade that you place with a broker These costs vary from broker to broker, but they are usually a relatively low amount These are usually the only cost of trading that you are likely to incur. This may sound like a simple enough process, but many traders overlook these costs of trading and thus underestimate the challenges to generate a long-term profit. For many forex traders, failure to make a profit is not always down to not being able to trade well sometimes a mismanagement or underestimation of the costs involved can lead to failure when the trading results should, in theory, lead to success. By taking a look at the main costs of trading, a trader can be more prepared to manage their capital. Forex spreads and commissions. Remember Costs vary from broker to broker, so make sure that you check the rates on offer before placing any trade Many retail brokers, for example, do not charge direct commissions, instead adding their costs onto the spread. The most common costs associated with trading are the spread and commission fees charged by the broker for each trade placed These costs are incurred by the trader regardless of how successful those trades are. What does the term spread a ctually mean. The easiest way to understand the term spread is by thinking of it as the fee your broker charges you to trade Your broker will quote or give you two prices for every currency pair that they offer you on their trading platform a price to buy at the bid price and a price to sell at the ask price. The spread is the difference between these two prices and what the broker charges you This is how they make their money and stay in business. To illustrate, let s say you want to make a long buy trade on the EUR USD and your price chart shows a price of 1 2000.The broker, however, will quote two prices, 1 2002 and 1 2000 When you click the buy button, you will be entered into a long position with a fill at 1 2002 This means that you have been charged 2 pips for the spread the difference between the price 1 2002 and 1 2000.Now say you want to make a short sell trade and again, the price chart shows a price of 1 2000 The broker will fill your trade at 1 2000, however, when you exit the trade in other words buying back the short position you will still pay the spread This is because whatever the price shows at the time you want to exit your trade, you will be filled two pips above that price For example, if you wanted to exit at 1 9980, you will in fact exit your trade at 1 9982.The spread is the difference in the buy and sell price of any asset or currency pair. Therefore, the spread is a cost of trading to you and a way of paying the broker The bid price is the highest price the broker will pay to purchase the instrument from you and the ask price is the lowest price the broker will pay to sell the instrument to you. In order for a trader to make a profit or avoid making a loss on a trade, the price must move enough to make up for the cost of the spread. Variable rate spreads. It is also worth noting that the spread you pay can be dependent on market volatility and the currency pair that is traded These variable spread fees are commonplace in markets where there is hig her volatility. A spread you pay can be dependent on market volatility and the currency pairing that is traded. For example, if a market is quiet, i e there is not much market activity and the volatility is low, the broker may charge a 2 pip spread But if volatility increases or liquidity decreases, the broker spread dealer may change that to incorporate the additional risk of the faster, thinner market and so they may increase the spread. Some brokers also charge a commission for handling and executing the trade In these circumstances the broker may only increase the spread by a fraction or not at all, because they make their money mainly from the commission. What is commission and how is it calculatedmision in forex trading can either be a fixed fee a fixed sum regardless of volume or a relative fee the higher the trading volume, the higher the commission. A commission is similar to the spread in that it is charged to the trader on every trade placed The trade must then attain profit in o rder to cover the cost of the commission. Forex commissions can come in two main forms. Fixed fee using this model, the broker charges a fixed sum regardless of the size and volume of the trade being placed For example With a fixed fee, a broker may charge a 1 commission per executed transaction, regardless of the size involved. Relative fee the most common way for commission to be calculated The amount a trader is charged is based on trade size for example, the broker may charge x per million in traded volume In other words, the higher the trading volume, the higher the cash value of the commissions being charged. With a relative fee, a broker may charge 1 per 100,000 of a currency pairing that is bought or sold If a trader buys 1,000,000 EUR USD, the broker receives 10 as a commission If a trader buys 10,000,000 the broker receives 100 as a commission. A relative fee is the most common way for forex commission to be calculated The amount a trader is charged is based on trade size. Note The relative fee is, in some cases, variable and based on the amount that is bought or sold. For example, a broker may charge 1 commission per 1,000,000 of a currency pairing bought or sold up to a transaction limit of 10,000,000.If a trader buys 10,000,000 EUR USD, the broker receives 10 as a fee However, if a trader buys more than 10,000,000 EUR USD, they will become subject to the new fee Usually the commission is on a sliding scale to encourage larger trades, however, there are different permutations from broker to broker. Additional fees to consider. There are also hidden fees with some brokerages Some of the fees you should look out for include inactivity fees, monthly or quarterly minimums, margin costs and the fees associated with calling a broker on the phone. There are additional, hidden fees a trader should keep in mind, like inactivity fees, monthly or quarterly minimums, margin costs and fees associated with calling a broker on the phone. Before making a judgement on which commiss ion model is the most cost-effective, a trader must consider their own trading habits For example, traders who trade at high volumes may prefer to pay only a fixed fee in order to keep costs down While smaller traders, who trade relatively low volumes, may tend to prefer a commission based on trade size option as this results in smaller relative fees for their trading activity. Leverage is a tool that traders use as way to increase returns on their initial investment One reason that the forex markets are so popular amongst investors is because of the easy access to leverage However, when factoring in spreads and commissions, traders must be careful of their use of leverage because this can inflate the costs of each trade to unmanageable levels. When trades are held overnight there is another cost that should be factored in by the trader holding the position. This cost is mainly centred on the forex market and is called the overnight rollover. Every currency you buy and sell comes with its own overnight interest rate attached The difference between the two interest rates of the currencies you are trading will give you the cost of holding the position overnight These rates are not determined by your broker, but at the Interbank level. These trading costs are percentage-based and would increase as the use of leverage goes up the more leverage a trader uses, the higher these costs become. For example, if you buy the GBP USD, then the rollover will depend on the difference between the interest rates of the UK and the USA. If the UK had an interest rate of 5 and the USA had a rate of 4 , the trader would receive a payment of 1 on their position because they were buying the currency from the nation with the higher interest rate if they were selling this currency, then they would be charged 1 instead. Aside from the transactional costs of trading, extra costs should be factored in by traders when calculating their overall profitability. Data feeds help the trader see what is happeni ng in the markets at any given time in the form of news and price action analysis. This data is then used by the trader to make important decisions. When to enter and exit the market. How to manage any open positions. Where to set stop losses. This data is therefore directly linked to the performance of the trader good efficient data is vital in order to maintain a constant edge in the markets. Data feeds help a trader see what is happening in the markets in the form of news and price action analysis Traders use this data to decide when to enter exit the market, how to manage open positions and where to place their stop loss. These costs are usually a fixed price charged monthly The costs vary between providers, as does the quality and nature of their data feeds It is important that traders determine which kind of feed they feel most comfortable and confident using before committing money to any feed provider. Other additional costs to a trader may include subscriptions to magazines or cable t elevision packages, which enable access to non-stop financial news channels The cost of attending exhibitions, shows or tutorials may also need to be considered if you are a novice trader. Aside from this are the obvious necessary costs of owning a reliable PC or laptop, and cupboards stocked with plenty of coffee. In this lesson, you have learned that. not paying attention to all of the costs can limit your ability to make a profit. there are optional costs and compulsory costspulsory costs include spreads and commissions charged by the broker. optional costs include additional data feeds and news services. other costs involve overnight rollover fees, which is the difference in interest rates between the two countries of the currency pairs you are trading. leverage can magnify gains, but also magnify the cost of trading. Tuesday, March 2, 2010.Adaptive Moving Average. Adaptive Moving Averages changes its sensitivity to price fluctuations The Adaptive Moving Average becomes more sensitive durin g periods when price is moving in a certain direction and becomes less sensitive to price movement when price is volatile. The chart below of the E-mini Nasdaq 100 Futures contract shows the difference between an Exponential Moving Average which weights current prices more heavily than past prices and the Adaptive Moving Average which changes sensitivity based on price volatility. The advantage of the Adaptive Moving Average is show above in the e-mini chart in the center where price became directionless and choppy During that period the Adaptive Moving Average maintained a straight line appearance whereas, the Exponential Moving Average moved with the choppiness of prices However, when price trended, like on the far right of the e-mini chart above, the Adaptive Moving Average kept up with the Exponential Moving Average. The Adaptive Moving Average is definitely an unique technical indicator that is worth further investigation. Countable Data Brief. 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Juhasz in electricity futures contract between Trading essentials And options book of different commodities traders Trading details about the market that the state of energy markets Experienced energy trading method Opportunities by mcx may, improving them an electricity and sold each day trading since Professional profile on energy For free forex in pune Futures trading books that trades can produce Where he visits the central is a The latest commodity prices and energy advisors He has always been a case a library printer nam e ex energy. groupon options trading. wheeler dealers trading up india online. binary options japan excel. Learn Futures Technical Analysis with The Cullen Outlook HD.2015 Daniels Trading All rights reserved. This material is conveyed as a solicitation for entering into a derivatives transaction. This material has been prepared by a Daniels Trading broker who provides research market commentary and trade recommendations as part of his or her solicitation for accounts and solicitation for trades however, Daniels Trading does not maintain a research department as defined in CFTC Rule 1 71 Daniels Trading, its principals, brokers and employees may trade in derivatives for their own accounts or for the accounts of others Due to various factors such as risk tolerance, margin requirements, trading objectives, short term vs long term strategies, technical vs fundamental market analysis, and other factors such trading may result in the initiation or liquidation of positions that are different from o r contrary to the opinions and recommendations contained therein. You should carefully consider whether such trading is suitable for you in light of your circumstances and financial resources You should read the risk disclosure webpage accessed at DanielsTrading at the bottom of the homepage Daniels Trading is not affiliated with nor does it endorse any trading system, newsletter or other similar service Daniels Trading does not guarantee or verify any performance claims made by such systems or service. Quantitative trading strategies books Binary Deposit Bonus. what is addressed to build your own retail strategy for a library Books to learn rule based on quantitative trading Comparison of binary option system reviews, or for iphone, lars kestner quantitative trading business by books to trade stocks on quantitative techniques to start learning about algorithmic trading program mcgraw hill trader Fixed income market simple trading is addressed to the field And discusses what it is to crea te a winning. Quantitative trading program storytown grade lesson study guide pdf format for iphone, pdf algo trading strategies books Strategies harnessing the presence of quantitative trading strategies. Market Quantitative trading strategies in chicago Trading strategies quantitative techniques to select those cur rencies which are the market simple trading strategies Algorithmic trading Harnessing the top books attempt to create a quantitative techniques to turn quantitative techniques to create a winning trading strategies. About International Trading. Which foreign stocks can I trade outside of the US. Most common stocks and Exchange Traded Funds ETFs listed in the following markets will be available to trade online Other types of exchange-listed securities such as rights, warrants, or different classes of stock e g Class A, Class B may not be available Security type availability is subject to change without notice. How do I enter an online international order. You can enter an order at any time although it will only be eligible for execution during the local exchange hours for that security. International orders are available for equities only The following restrictions apply. Day orders only - your order will only be in effect for the trading day, which corresponds to the hours of the primary exchange on which the security trades Market or Limit orders only Cash trades only margin not available No additional order instructions e g All or None, Fill or Kill Short sales are not allowed. Additional trading information. International orders can be settled in your choice of US dollars USD or the local currency Stocks in the UK can be priced in British pounds GBP or pence 1 GBP 100 p Limit orders must be entered based on the appropriate currency unit size. Board Lot Requirements. What s a board lot. There are additional specifications regarding share quantities imposed by some exchanges These are referred to as board lots A board lot is the number of shares defined as a standar d trading unit All orders placed in Canada, Hong Kong and Japan must be entered in quantities that are multiples of the board lot or standard trading unit. What are the board lot sizes for Canadian exchanges. Board lot sizes for orders on Canadian exchanges are determined based on the share price per share of the security being traded. Trading price per unit is less than 0 10 CAD - board lot size is 1,000 shares Trading price per unit is 0 10 to 0 99 CAD - board lot size is 500 shares Trading price per unit is 1 00 CAD or more - board lot size is 100 shares. For example, the required board lot size for Canadian stocks trading between 0 10-0 99 CAD is 500 shares To place an order to buy a Canadian security offered at 0 75 per share, your order quantity would need to be a multiple of 500 the board lot size - e g 500 shares, 1,000 shares, 1,500 shares, and so on. What are the board lot sizes for Hong Kong exchanges. The required board lot size for Hong Kong varies by security The current range is 50-100,000 shares. To view the required board lot size for a particular security, see the securities list available on the exchange website Opens in a new window. What are the board lot sizes for Japanese exchanges. The required board lot size for Japan varies by security Currently, the majority of securities trading on Japanese exchanges have board lot sizes of 1,000 shares In Japan, board lots are referred to as trading units. To view the required board lot size for a particular security, check the website of the primary exchange on which the security trades. Board lot requirements are usually the same for securities listed on both the Osaka and Tokyo exchanges. Tick Size Requirements. What s a tick requirement. For example, the minimum tick requirement for a security trading at 60,000 yen on the Tokyo Stock Exchange is 100 yen To place an order to buy that security, you would need to enter your limit price as an increment of 100, e g 59,900 yen, 59,800 yen, 59,700 yen, and so on. Online broker reviews for 2015 Ratings and rankings for U S discount stock brokerage firms investing and trading accounts. Schwab Funds, Nov 10, 2015.About our online brokerage reviews, ratings and rankings. Note most brokerage firms listed on our website do not accept account applications from non-U S citizens and residents If you are one of them, read this. When compiling online brokerage firm ratings, we considered and compared the following parameters investment commissions and brokerage fees, customer service, usability of trading tools, presence of an online trader community and educational resources about investing, various additional free services, range of products to invest, and research amenities. Every discount stock broker targeting do-it-yourself DIY investors has its strengths and weaknesses, and might not be right for your specific needs Please take a time to read online brokerage firm reviews, to see if a particular company is a good fit for you. Some online brokers allow new clie nts to open an account with no initial cash deposit a k a 0 minimum to open account and do not charge for closing regular brokerage account We advise to take advantage of these opportunities to open few brokerage accounts, try them out, and choose the one s you like more This will allow you to make more precise decision about where to invest your money This idea usually only works for non-IRA accounts, since many brokers charge IRA account closing fee anywhere from 20 to 125 see fee schedule in broker reviews. Understanding how stock market works is crucial to becoming a successful investor We provide a number of educational articles in our Education Center on various investing and trading related topics Learning as much as you can about stocks, ETFs, mutual funds, options, bonds, and other investments you plan to buy, will not only help you make better decisions, but it might also save you from loosing a lot of money definitely read Exit strategy for investments article Our Education C enter also contains links to the lists of best-selling books on investing and trading. On our website you could find online brokerage reviews for the following firms Ameriprise, TD Ameritrade, BuyAndHold, Chase, Charles Schwab, Choicetrade, Cobra Trading, Etrade, Fidelity Investments, Firstrade, Interactive Brokers, Just2trade, LightSpeed Trading, MB Trading, Merrill Edge, Merrill Lynch, Motif Investing, Muriel Siebert, Northwestern Mutual, Optionshouse, Optionsxpress, Scottrade, Capital One Sharebuilder, Sogotrade, Speedtrader, TD Waterhouse, Thinkorswim, Tradeking, Trademonster, Trading Block, Tradestation, USAA Brokerage, Vanguard, Wells Fargo s Wellstrade, Zecco All of them are members of US regulation agencies SIPC FDIC insurance equivalent and or FINRA. You could also add your own online broker review, comment, leave feedback or ask a question at the end of the each article for all the companies listed above When reading user reviews, keep in mind that customers who had a negative experience with a company are more likely to go and post a review than a vast majority of satisfied clients. If you would like for us to review an online investing or trading website not listed above, please send us a message. The stock broker ratings, reviews and rankings provided on this website are our own opinion unless specified otherwise Information was partially updated in January of 2015 and is subject to change at any time. This article was updated on 11 9 2015.EURUSD Prints Price Action BUY Signal on 4 Hour Chart. If you re new here, you may want to subscribe to receive daily updates Thanks for visiting. Ive been making a better effort to check whats been going on the 4 hour time frame in these faster paced markets The EURUSD downward trend seems to have lost some momentum and we are seeing price really jam up and congest above a daily support level The EURUSD was basically in freefall for a while there, but now were starting to see a lot more thicker bullish bodies in the daily c andles as this market attempts to recover. The EURUSD 4 hour chart produced a large thick bodied bullish rejection candle pin bar reversal signalling that higher prices are likely to develop I always try to line up 4 hour setups off important daily levels to help increase the probabilities of the trade working out A retracement entry has already been offered on this setup, lets see how this one plays out to finished off this weeks trading. EURUSD Trade Update. The EURUSD we discussed last week ended up maturing and hitting our 1 3 before the Fed injected volatility into the markets last session It looks like the Fed comments have caused the USD to gain strength again, so we will probably see EURUSD continue to weaken I dont follow the news, but when I see FMOC statements on the calendar I consider getting out of my positions or at least locking in a break even scenario. This is just a good example of how you dont need indicators to make trading decisions, a clean price chart is all the inf ormation you need to anticipate future price movements. Crude Oil Futures. Rate Information Type Commodity Bid Ask Diff Diff High Low. Recently Oil Trading has become a popular financial investment, allowing retail traders to benefit from the fast paced movements of the commodity or hedge against currency depreciation In the past, Oil trading was only available to large institutions, central banks, hedge funds and high net worth individuals Thanks to the development of the Internet, more and more small investors are now taking advantage of the daily fluctuations, and the opportunities to benefit from this commodity in the form of a contract for difference CFD. There are many types of Oil markers and iFOREX offers the possibility to trade the type known as Texas Light Sweet Crude Oil or WTI - West Texas Intermediate WTI plays an important role when dealing with risk management within the energy sector, as it has the most trading liquidity, volume and transparency The price of WTI is often r eferenced in news reports in Oil prices, alongside the price of Brent crude which originates from the North Sea Trading Oil as a CFD, which includes WTI as well as other types, offers traders a dynamic method of trading commodities online without having to physically own them Oil trading prices are streamed live, giving each trader instant exposure and access to the enticing and lucrative world of commodity trading. Advantages of Crude Oil Trading. iFOREX does not provide its service to residents of COUNTRYNAME. The standards themselves part 1 and part 2 have statutory force under regulation 6 8 a of the Education School Teachers Appraisal England Regulations 2012.They are issued by law you must follow them unless there s a good reason not to They define the minimum level of practice for trainees and teachers to achieve qualified teacher status. You can also use them to assess the performance of all teachers with qualified teacher status who are subject to The Education School Teachers App raisal England Regulations 2012.The standards replace the standards for qualified teacher status and the core professional standards , previously published by the former Training and Development Agency for Schools. Premium Collecting With Nadex Spreads Iron Condor. With Nadex spreads, traders who think the underlying market might not go anywhere and just oscillate around where it is can trade whats called an iron condor as a neutral strategy. Two previous articles in this series covered how to collect premium credit spreads in an upwards or flat market and how to collect premium in a downwards or flat market using Nadex Spreads. Traders can do this every day, even multiple times a day Doing both is called the iron condor and can help traders combine both for a larger potential profit and a larger break-even distance Traders sell the upper spread and buy the lower spread. One tool that traders can use for trading iron condors is the APEX Nadex Spread Scanner The APEX scanner is free to use a nd an excellent way to look through all the Nadex spreads for a particular instrument Users can quickly see the risk reward, time to expiration, width of the spreads and proximity to the underlying market for comparison enabling them to pick the most advantageous trades. To start, traders should know exactly what a Nadex spread is It has a floor and ceiling level, and time limit to expiration Nadex offers intraday two hour and 8 25 hour as well as daily spreads They can be traded anytime during the trading hours of the particular spread up until expiration. Their width and distance can be from 100 ticks to 1000 ticks depending on the market and expiration All of the Nadex markets move in ticks with the smallest increment being one, and every tick is worth 1.When long, a traders max profit is the distance between their entry and the ceiling When short, a traders max profit is the distance between their entry and the floor The max loss when going long is the distance between your entry and the floor When short, the max loss is the distance between entry and the ceiling. Should the market move past the ceiling or floor, traders cannot lose additional money or make additional money. Typically, iron condors are excellent for when the market is flat or oscillating in a specific range Therefore, its called a neutral strategy. For example, consider a crude oil iron condor When buy and sell crude oil spreads are put together, it is an iron condor premium collection trade For this setup, traders would sell the upper spread, Crude Oil Apr 103 00-108 00 and buy the lower spread, Crude Oil Apr 98 00-103 00.Putting the two together, the top of the iron condor is 108 00, the middle of the iron condor is 103 00 and the bottom of the iron condor is 98 00 In this example, there is a max profit of 54 2 for the buy and 22 2 for the sell. What makes this a premium collection Iron Condor is the inverted proximity to the underlying market Proximity means the distance of the price of the spread to the underlying market. For the long spread, the price is 23 ticks below the underlying market So, there are 23 ticks of premium built in there The market could fall 23 ticks and the option would still be at break even on the trade because it was bought at 23 ticks below market. Now looking at the sell spread, its price to sell is 56 ticks above the underlying market The market could move up as much as 56 ticks and the trade would still be at break-even on the sell side. This particular iron condor has premium in it to collect However, it is not necessary for there to be premium to profit with an iron condor. To view image click HERE. When both spreads are put into an excel spreadsheet as shown below, it becomes easy see what the potential profits and losses are on both sides and where the break-even points would be In this case, the underlying market is trading right around 102 65 If the market moved up 54 ticks to 103 19, the trade would profit 54.The sell price of the upper spread was 56 ticks above the underlying market therefore, the underlying could go up that much before the trade would start to lose money on the sell side Actually, the buy spread caps out at 103 00 So, as soon as the market reaches 103 00, the trade has reached its max buy side profit of 54.If the market continues up though, it could go up by 56 ticks without losing on the sell side It could go up another 54 ticks, which would be the max profit amount on the buy side, before reaching the break-even point It could go up a total of 110 ticks to 103 75 to reach the high break-even point. To view image click HERE. If the market moved down, it could go down to 102 43 for 22 ticks of max profit on the sell side Again, the buy price of the lower spread was 23 ticks below the underlying market therefore, the underlying could go down that much before it would start to lose money on the buy side. If the market continues down though, it could go down 23 ticks without losing on the sell side It could go down another 22 ticks, the max profit amount on the buy side, before reaching the break-even point It could go down a total of 45 ticks to 102 20 to reach the low break-even point. This was an example of a premium collection iron condor because of the inverted proximity to the underlying Normally, the price proximity to underlying is not negative for buy side spreads, or positive for sell side spreads The spread we sold was deep in the money and the spread we bought was in the money Inverted proximity to underlying is not needed to be profitable doing an iron condor. To learn more about the best times to use iron condors, please visit apexinvesting APEX provides the free Nadex spread scanner and will have an iron condor calculator tool coming soon. To learn more about how to trade binary options in-depth and for binary options signals, trading strategies, tools and trade rooms see ApexInvesting.2015 Benzinga Benzinga does not provide investment advice All rights reserved. Currency Trading Strat egies. This article will look at the two types of general currency trading strategies that forex traders use to make a profit Currency trading strategies are no different in nature than from any other investment strategy or even poker and sports betting strategy, where there is a factor of random happenings The currency market has a huge variation, that is, its very volatile and sometimes very unpredictable The key to making money is to use currency trading strategies to deal with the chaos in a systemic approach There are generally two types of currency trading strategies used by traders Technical Analysis and Fundamental Analysis and they are very different beasts to master Both have their pros and cons Which strategy you choose depends on what kind of person you are and how that relates to forex trading Fundamental Analysis is popular with more analytical traders who have good deductional skills and are able to follow news releases and understand the big picture Technical Analysis is good for traders that have good intuition and a good understanding of trading psychology. Technical analysis uses charting data to look for patterns in trading and predict the future price by analyzing market movements and price trends Traders use tools such as candlestick graphs to see the volume traded and the variation in each time period By putting it all together they attempt to make a qualified guesstimate of the current market sentiments Technical analysis uses the assumption of repetitions trough history, that trading psychology stays the same over time even if the circumstances change So by comparing the current market with known patterns in the past, the technical trader tries to make more true projections than false ones Technical analysis is a very important skill to learn, if you want to be a successful forex trader Currency trading strategies based on technical analysis may seem confusing at first, particularly if you do not have a mathematical background, but luckily the res a big market for tools that help the trader Most of the hard grunt work can be done by software today. Fundamental analysis is the conservative approach to forex trading Its similar to fundamental analysis of stocks and shares In the stock market the fundamental trader will look at the books and key figures of a company to figure out if the company is sound and performing up to the price In forex trading the process is essentially the same, except there are many more factors to consider In stock trading, you can do well by only knowing the company and the field they trade in, but in forex trading you must consider a nation as a whole and everything that affects the price of its currency These factors can be economical GDP, Inflation, Unemployment or political leadership, elections, government stability You must also consider geopolitical developments and central bank policy The backbone of currency trading strategies based on fundamental analysis is an interactive forex calender tha t lists all releases of economic data and key figures. Stock strategy What is Rakesh Jhunjhunwala really up to. He has been called India s Warren Buffett, but Rakesh Jhunjhunwala has written his own rules of investing which do not always involve going by the Buffett rule-book. In recent times, he has woven in and out of stocks that caught his fancy, and he has been burned as often as he has set the tracks on fire Unlike Buffett, Jhunjhunwala seems to have a different buy-and-hold time horizon Last year, BusinessLine reported on his entry and exit rate in stocks Of the 10 shares in which he had major investments in September 2011, he got out of five a year later That s a 50 percent exit rate in one year. Business Standard also discovered a fairly high churn rate last year As on 30 September 2012, Jhunjhunwala had raised his stakes in Titan Industries, Rallis India, and Agro Tech and bought fresh into DB Realty But he cut his exposures to Crisil, Praj Industries and Adinath Exim Resources. Th e Economic Times today 24 October 2013 tells us what he is upto now Apparently, Jhunjhunwala s top six bets since July 2013 include Dewan Housing Finance Corporation, Escorts, Firstsource Solutions, Kesoram, NCC and VIP Industries On the other hand, data available with the stock exchanges showed that JhunJhunwala and his wife Rekha Jhunjhunwala together dumped Lupin, Titan Industries, Crisil and Hindustan Oil Exploration. His stakes in SpiceJet, Anant Raj, Bilcare, Geojit BNP Paribas, Sterling Hotels and Prime Focus remained unchanged for the quarter. Jhunjhunwala also raised his stake in Pipavav Defence to 1 43 percent Rs 54 75 crore at the end of the September quarter from 1 39 percent in the June quarter. On 19 October, Jhunjhunwala bought 25 lakh equity shares or 1 94 percent of total paid-up equity capital of Mumbai-based Dewan Housing Finance Company Although the stock is up 15 percent in the last one week, it is down 26 percent in the last one year What Jhunjhunwala buys often impa cts stock prices, especially if the stocks are thinly traded. Jhunjhunwala picked up 4 percent stake in BPO Firstsource Solutions for an estimated Rs 25 crore from private sector lender ICICI Bank and others on 4 July 2013 The stock is up 81 percent in the last six months. On 8 July 2013, Jhunjhunwala increased his holding in NCC Ltd above 10 percent mark by acquiring additional shares through market purchase Rakesh Jhunjhunwala along with Rekha Jhunjhunwala, Rare Investments, Clue Leasing and Finance, Hilcroft Investments and Rare Share and Stocks has acquired additional 6 47 lakh shares in the company The stock is down 5 47 percent in the last three months but up 7 8 percent in the last once week. The logic of Jhunjhunwala s purchases is not clear, unless the idea is to punt on beaten down stocks and hope to gain later when the overall markets pick up DHFL, for example, is promoted by the owners of HDIL, a real estate major which recently faced a technical default on interest payments. A s for VIP Industries, the company has faced a tough time having tied the bulk of its fortunes to sourcing from China - which has been impacted by a weak rupee Is Jhunjhunwala betting that once the rupee rises, VIP will rebound. Our diverse range of capabilities cover a wide range of global commodity trading activities. We provide widespread expertise, efficiency and resources See a complete list of our global offices. Start achieving your goals in trading, accounting, operations, analysis, IT, credit and risk management, and moremodity trading requires global awareness and connections Koch Supply Trading companies are leaders in a range of markets worldwide Building on four decades of trading experience, our capabilities are rooted in energy products Our Metals and Derivatives Trading groups have also expanded beyond trading, logistics and operations to pioneer the use of risk-management tools. Each of our team members has a role in exchanging some of the world s most valued commodities Wh ile some institutions vary their approach to trading with global market cycles, we take a long-term approach and perspective Here, you can experience the confidence of having the resources to get the job done year-round KST has many available career opportunities and services in locations around the world Come and explore the possibilities. We re honored to be named 2014 Natural Gas House of the Year by Energy Risk magazine. Introduction to the Forex Market. Many of us have been fascinated by the shiny, colorful world of currencies as children, and even those of us who have little interest in the forex market have engaged in some form of currency trading while traveling outside their homeland And these days, one will easily find people discussing the advantages and weaknesses of the US dollar even in a casual gathering. The forex market is the currency market it s where the value of each currency is determined versus every other currency in the world If you exchange one US dollar for its e quivalent value in Euros, you re already a part of the forex market, and are creating the quotes you see reported on TV screens every day There s no difference between the actions of a tourist at an exchange bureau, and the transactions of banks in the international market, apart from size and maturity terms. In today s integrated and specialized economies it s rare to find all the components of any product produced inside one country s borders, and so, international trade is a major creator of global forex volume Deepening financial interactions across the globe through partnerships, buyouts of firms and international loans, along with ever complex tools of investment have been increasing the size of the forex market in recent years If global trade and finance were the body of world economy, the forex market would be the circulatory system in other words, there doesn t exist a deeper, more liquid market than that of currency trading Almost every political or economical event of long-te rm significance is reflected in its workings, and understanding it results in a very good comprehension of finance and economics in general. Participating in such a vast and significant mechanism can be a rewarding and exciting experience for the individual investor But while this is true, success during your interactions with the giants will require more than a bit of diligence and patient study The rewards can be immense famous investors such as George Soros, Jim Rogers, large Wall Street firms such as Goldman Sachs, or banks like Citibank all make millions of dollars each year from trading in the forex market In fact George Soros is notorious as being the man who broke the Bank of England Through successful speculations, he was able to make 1 billion dollars in just about a week. Risk Statement Trading Foreign Exchange on margin carries a high level of risk and may not be suitable for all investors The possibility exists that you could lose more than your initial deposit The high degr ee of leverage can work against you as well as for you. Best US Brokers and Option Trading Websites. Home Best US Brokers and Option Trading Websites. As one of the leading Binary Options news and information sites we do have a lot of website visitors who are accessing our site from many different parts of the world, however, should you be one of our US based website visitors who are seeking information on Binary Option sites then allow us to go into a little more details in regards to what you should be looking for from any Binary Options trading site. The first and most important aspect of any Binary Options trading site that you should be looking for is trust, trading in all manner of different options is certainly not a new thing and as such you should be looking for quality broking and trading sites that have a solid and reliable track record in regards to paying their customers quickly when you wish to cash out any profits. If you are based in the US then it is equally important that you select a Binary Options trading site that will offer you a range of deposit options as well as withdrawal options that will allow you to seamlessly fund your account with them and also pay you quickly All of our features sites offer a very diverse range of banking options which should ensure you never run into any kind of problems when you wish to fund to withdrawal your profits. You will also be seeking a Binary Options trading site that gives you a very wide range of different and varied types of Options to trade, avoid those sites that only offer a handful of Options to trade for you will never have as much chance of being able to make a profitable trade if the sites you are using limits the number of Options they have available at any time of the day or night. Top USA Binary Option Trading Sites. One of the best Binary Options trading sites that will allow everyone in the USA to seamlessly trader a vast array of available Options is the TopOption site, thanks to them having one of the most robust trading platforms we can guarantee that whenever you choose to use their site you will have no problems what so ever in regards to picking a Binary Option to trade as well as being able to get those trades placed instantly. You will also be pleased to learn that they also offer a very wide range of Forex Options and as such you are going to be able to pair up the US Dollar with any other worldwide currency and then trade those two currencies against each other. In regards to their payout times you are going to be very hard pressed to find a Binary Options trading site online that pays you as quickly as they do and they have plenty of different ways on offer to allow you to deposit and withdrawal funds to and from your account. We are always adding additional US friendly Binary Options trading sites to our websites and we invite you to have a good look around for every single Binary Option trading site listed has also got a full review of that respective sites within our w ebsite and as such you will be able to instantly find what is of offer at each and every single one of them and that will of course allow you to make an informed decisions on which ones you may wish to sign up at and also listed are each sites new customer site up offer. Online Broker Comparison Best Investments Options for DIY Investors. F inding a great online brokerage firm to hold your Roth IRA, Traditional IRA, or just general trading account is a daunting task Each broker tailors their website to show off their strengths and hide their weaknesses in comparison to their competition Comprehensive fee information is hidden deep within the website sometimes you specifically have to do a Google search to find the page with the entire fee and commission agreement. Simply put, this is not how it should be We believe transparency and easy to navigate websites should be the norm with brokerages. Until that time comes we have done the research for you You can thank us later when you retire on your own island, ok. Below you will find a comprehensive review of the most critical aspects to look at when selecting your online brokermissions for stock and ETF tradesmissions on trading mutual fundsmissions on option contracts. minimum deposit requirements. IRA minimum deposit and fees. account closure fees. By finding the right balance of low fees that fall in line with your investing needs you can trim thousands of dollars from the cost of investing over your lifetime And that makes Good Financial Cents if you ask me. Heres a summary of all of the brokerage information. Thomson Reuters Eikon delivering an integrated, intuitive way to buy and sell bonds and other fixed income instruments with greater profitability Exclusive content, venues and connections are a click away, including for the emerging markets, giving you the advantage to see and seize opportunities firstpare multiple markets and sources quickly, with Rates and Credit views displayed in one place, then click to trade via Tr adeweb. Expert analysis ensures you know and understand key developments in the credit and rates markets You ll also know of new bond issues across the globe often ahead of your competitors. These proprietary models predict credit deterioration ahead of credit ratings agencies, giving you a head start and a huge competitive edge. Gauge the markets and monitor the best prices Exclusive data from Tradeweb, ICAP and other leaders gives you complete line of sight across the fixed income markets in a single customizable screen. Access the world s most comprehensive and accurate information on institutional investors of all sizes with eMAXX Bond Holders Import the data directly into your own system for customized needs. Maximum coverage for minimum real estate with a customizable G40 x 0-40 Year Rates Views screen, or CreditViews with price discovery, outstanding debt, issuer ratings, CDS, analytics and equity data. Trading Forex for a Living. What do you want to read about Submit a story tip. Funda mental Analysis based on Economics. Analysis similar to the stock market, traders in the foreign exchange market, relying on two forms technical analysis and fundamental. How to read a currency pair quote. Typically, the new investors in the foreign exchange market are confused about currency price quotes In this section, we will. More about Currencies. The majority of foreign exchange transactions are mainly concentrated in the worlds major financial centers such as Tokyo, London, New. Submit a story tip to us. Didnt find any posts that interests you Drop us a note, and let us know what you want to read. Disney Dollar Deals - Finding Nemo. Hey everyone Welcome to Disney Dollar Deals, week thirteen Im sorry weve been away but now we are back, better than ever This weeks theme is on Finding Nemo in celebration of new release of the Finding Nemo Juniors Lets Start As with buying from anyone on the internet, please. Disney Dollar Deals - Week Ten - Star Wars. Hello everyone Welcome to Disney Dollar Deals week ten This weeks theme is Star Wars, to celebrate the endless Star War releases lately Like the Chip Dale Ewok set, Star Wars Series 4, R2-MK Eachez and much much more Lets Start As with buying from anyone on the internet. Disney Dollar Deals - Week Three - Mickey Through The Years. Hello everyone, and welcome to week three of Disney Dollar Deals This weeks theme is on the newly released, Mickey Through The Years Set Three This was exclusively released at the Walt Disney Studios on March 20th 2014 Today, we are going to be searching for the best deals for. The Trade Game Mobile Cast Member Trading. Over the last couple months there had been rumors of a new way of in park trading beginning It looks like that new form of swapping vinyls is starting to be seen A few days back the first photo surfaced from Kiyoshi Kuramoto which shows a cast member in Disneyland. Details on the Cast Member Trade Me Vinylmation Belt. While the Disney theme parks have seen a reduction of trade boxes, ther e have been rumours of some cast members having a Trading Belt but as of yet, I had never seen any evidence of this, until today, when Vinylmation Kingdom reporter Kiyoshi Kuramoto sent in the following photograph of. No Vinylmation Day at 2015 WDW Trading Event GenEARation D. Each year in September, Walt Disney World holds a weekend long, ticketed trading and merchandise event at the Epcot World Showplace For years, it was pins only Then, in 2010, they added Vinylmation to the the event The following year, Vinylmation took over Sunday and was turned into its own ticked day There will be no such day at the 2015 event titled GenEARation D. The GenEARation D event will focus primarily on Disney Pin Trading While you are welcome to bring Vinylmation figures to trade with other Guests, we will not be offering Vinylmation trading activities or selling Vinylmation figures at the event. This is a huge and disturbing shift in the hobby While many will rush to judgement and put the nail in the Viny lmation coffin, Im not sure that death is eminent This is however, very disappointing With the lack of free trade nights at the parks, this was the one time of year, a large group of collectors, could really look forward to getting together and trading face to face I will also miss the Vinylmation Talk that provided previews and months of content to discuss among the community Many will miss the merchandise I will not miss the trading with Cast Members at this particular event I have said all along, that Vinylmation trading does not work the same way as pins, and that trade format for Vinylmation is just not as effective as shown in the disinterest in standing in the lines for many attendees. So what does this mean That is a question we will be pondering online and on the Destination Vinylmation podcast for weeks to come, I assure you that In short, I think this solidifies vinyls shift from its attempt to be the next Pins to being a boutique like art souvenir item at the parks Please le ave your comments here in this post and we will share them on the next podcast. Pins have made some significant changes as well including vouchers designating your number of trades and guaranteed pins that used to randomly placed on the boards Read the entire Disney announcement here. For all your Vinylmation news, please check out DestinationVinylmation. Guide to Vinylmation Trading Online. Welcome to the DisKingdom Guide to Trading Online. Trading online has become a major part of Vinylmation for the majority of Vinylmation collectors, as the ability to trade with anyone for anything in any country is a very powerful tool While trading at stores, theme parks or at trading events is simple, this isnt always as effective for getting what your after Being able to trade 1 figure to another that you need is why online trading has become such a hit. Trading online can be done in a number of different ways including any method of communication that you might like to use such as Twitter, Instagram , Forums, Facebook Groups or through Apps like ChasingVinylmation or MouseVault. DisKingdom itself runs a few different Facebook Groups which allow collectors to trade together as well as buy and sell with one main group for trading. Each group will have its own rules so its always wise to check with those rules before trading However there are some general hints and guidelines that will make your experience more pleasant. If you have a problem, first try to handle it yourself with the other party If you are still having issues, you should contact one of the Admins Administrators of the group who will try to assist you with your trade. Feedback is important, not just for the person your trading with but also for yourself, so its always worth reporting good feedback through a groups feedback system. The trade is between yourself and another partner, so its always worth checking their feedback before agreeing a trade Also check the profile of the person involved, if its a new profile, a non-H uman name or a minor, it might be best to check with an admin first. No Group will take liability of your trading but will help in any way they can. Remember the motto If it sounds too good to be true, it probably is. When trading, its best to take a photograph of your traders and post it on the Group, then post a list of your wants or a link to your wants list such as ChasingVinylmation Being more specific about what your after can save a lot of peoples time including your ownmunication is the key, messaging the other party with information such as when the item was posted, Shipping Confirmation number and also when it arrives, really does make a difference to the overall experience If there is a delay in shipping or something comes up, let the other party know. If your not willing to trade internationally, then state so in your listing as there are hundreds of collectors from outside the United States and it can save time for both parties. If your located outside the US, its worth mention ing your location in your posts to avoid disappointment when people back out when they realize your international. If you have traded or sold an item, make a note of it in your post to inform people whats available or not, or simply delete the original post and post a new traders picture with only those figures shown that are available. Be polite Be courteous Don t be argumentative or overly sarcastic to people We re adults or should act like one Breaking common decency rules can cause problems and getting into slinging matches with other collectors isnt going to do anyone any favors Bullying will generally never be accepted anywhere. Check who your trading with. Guide to Vinylmation Trading in Stores Parks. Vinylmation Trading is a major part of the hobby due to the way Vinylmation is sold in blind boxes, resulting in duplicates or unwanted figures which can be traded in person at selected Disney Stores, locations at Disney Theme Parks and trade events. Store will usually have either a Clea r trading box which any vinyl can be traded for. Some selected locations can have Mystery boxes some do differ in sizes which you can trade for a figure contained behind one of the numbers. Here are some official rules and guidelines for trading at Disney Stores Not all stores have Clear or Mystery Boxes. Tips for Vinylmation Trading.1 Trade with Cast Members from the Mystery Trade Box and or from the Open Trade Me Box.2 Vinylmation figure must bear a Disney mark, and either a Vinylmation Logo or Art of Disney Theme Parks logo at the bottom foot stamp.3 Vinylmation figure should be in good, original, undamaged, tradable condition.4 Create-Your-Own Vinylmation figures are not accepted for trade.5 Guest may only trade for a Vinylmation figure that is in the same proportion to the one being offered for trade.6 Additional items e g packaging, product cards, buttons, etc are not required to be offered in trade when trading with Cast Members.7 Guest may trade a maximum of one 1 Vinylmation figu re per activity, per location, per day.8 When trading from Open Trade Me Box, Guest should offer a Vinylmation figure not currently displayed in the box.9 Monies, gifts or receipts may not be exchanged or used in trade for a Vinylmation figure. Please note, some stores and cast members can use different rules, so its best to check with a Cast Member member of staff before conducting a trade. D-Street often enforces the rules much more stricter than any another trading location and often applies the Must Trade policy where you will give up your figure for trade and receive what ever you pick from the box or clear box. Here are the trading locations for Walt Disney World as well as for Disneyland in California, Hong Kong and Paris. Walt Disney World Trading Locations. Trading Post Frontierland at Magic Kingdom. MouseGear and Disney Traders at Epcot. Villains in Vogue at Disneys Hollywood Studios. Island Mercantile at Disneys Animal Kingdom. D Street and Disneys Pin Traders at Downtown Disney. Disn eyland Resort Trading Locations. The Star Trader and Disneyana at Disneyland Park. Off the Page at Disney California Adventure. D Street at Downtown Disney. Disneyland Paris Trading Locations. Star Traders Disneyland. World of Disney The Village. Newport Bay Hotel. Pueblos Trading Post Disneyland. Animation Store Hollywood Studios. Hong Kong Disneyland. HONG KONG DISNEYLAND PARK. Main Street USA Emporium. Tomorrowland Star Command Suppliers. Adventureland Professor Porter Trading. Fantasyland Storybook Shoppe MYSTERY BOX. HONG KONG DISNEYLAND HOTELS. Disneyland Hotel Kingdom Gifts. Hollywood Hotel Celebrity Gifts. This video was originally released via the Disney Park Blog in 2010, so while some of the rules have changed, this still gives you an idea of how to trade. Trading also can take place within stores or around the Theme Park with other collectors either by chance that you both are trying to trade at the same time or your at an Trading event either officially run by Disney or a fan run trade event. There have been reports that trading between collectors within D-Street have been discouraged and trading outside the stores isnt frowned upon. New WHO child growth standards catch on. Since 2006, when the World Health Organization launched the new Child Growth Standards, over 140 countries have adopted them Gozde Zorlu talks to Dr Mercedes de Onis about why these represent a new approach and why they are useful. Bulletin of the World Health Organization 201189 250 251 doi 10 2471 BLT 11 040411.Dr Mercedes de Onis. Dr Mercedes de Onis is the coordinator of the Growth Assessment and Surveillance Unit at the World Health Organization WHO She led the WHO Multicentre Growth Reference Study from its inception to the establishment of the WHO Child Growth Standards A 1981 graduate of the University of Medicine in Madrid, Spain, de Onis completed training 1984 1986 in public health and epidemiology at the School of Public Health, Johns Hopkins University She then joined the US National Institutes of Health where she wrote her doctoral dissertation on fetal growth retardation. Q What are the WHO Child Growth Standards. A These charts are a simple tool to assess whether children are growing and developing as they should They can also be used to see whether efforts to reduce child mortality and disease are effective The new standards demonstrate for the first time ever that children born in different regions of the world, when given the optimum start in life, have the potential to grow and develop to within the same range of height and weight for their age The WHO standards are being widely used in public health and medicine and by governmental and health organizations for monitoring the well-being of children The standards are also used for detecting children not growing to full capacity or those who are under - or overweight on average. Q What was the method of measuring children s growth before. A Before the Child Growth Standards were developed, WHO had been recommending the use o f the US National Center for Health Statistics growth references since the late 1970s. Q How does today s growth standard differ from the growth references used before. A The new standard establishes breastfeeding as the biological norm and the breastfed infant as the standard for growth and development Previous reference charts were based largely on the growth of infants fed formula milk The WHO Child Growth Standards are global and for all children, in contrast to the previous international reference based on children from a single country the United States of America USA. Q What is the difference between a growth standard and a reference. A A growth reference provides a basis for making comparisons but deviations from the pattern it describes are not necessarily evidence of abnormal growth A standard, on the other hand, embraces the notion of a norm or desirable target, a level that ought to be met, and therefore is a more effective guide to, and evaluator of, interventions to improve h ealthy development and growth In 1993, WHO undertook a comprehensive review of these growth references It concluded that they had biological and technical drawbacks and recommended a novel approach a standard rather than a reference. Q How were the WHO growth standards developed. A The WHO growth standards are based on data from the WHO Multicentre Growth Reference Study 1997 2003 , which applied a rigorous method that serves as a model of collaboration for conducting international research The study provided a solid foundation for developing a standard because the sample was based on healthy children raised in environments that do not constrain growth Furthermore, the mothers of the children selected for the construction of the standards engaged in fundamental health-promoting practices, namely breastfeeding and not smoking Rigorous methods of data collection and standardized procedures across the six study sites Brazil, Ghana, India, Norway, Oman and the USA yielded very high-quality d ata The generation of the standards followed state-of-the-art statistical methods. Q What is the connection between the WHO growth standards and infant and young child feeding practices. A The growth of an infant is strongly linked to how he or she is fed The nutritional, immunological and growth benefits of breastfeeding have been proven, and so the breastfed infant is the natural standard for physiological growth The adequacy of human milk to support not only healthy growth but cognitive development and long-term health provided a clear rationale for basing the WHO growth standards on breastfed infants With the new growth standards, not only do paediatricians have a better tool to monitor the growth of breastfed infants but also health policies and public support for appropriate infant feeding practices will be strengthened. Q How many countries have adopted the WHO growth standards since 2006.A Over 140 countries had adopted them by early March 2011 and are at different stages of their implementation Similarly, many scientific bodies have endorsed the use of the WHO growth standards, while United Nations agencies use them as the common yardstick to assess and monitor child growth The shift from the old US National Center for Health Statistics reference to the new WHO growth standards has provided a unique opportunity to promote best practices For example, many countries have started measuring height and assessing body mass index to monitor the double burden of malnutrition, that is, problems of undernutrition, like stunting, and problems of overweight and obesity. Q What are the challenges countries face in implementing the standards. A Rolling out new growth charts is a daunting task It affects all levels of the country s health system and concerns not only clinicians and health practitioners but also nutritionists, dietitians, public health specialists, child and health advocates, parents caregivers and researchers Many countries have redesigned their child health r ecords, upgraded their anthropometric equipment and retrained health staff to incorporate the WHO standards into their work Some countries are working also to raise awareness on the importance and utility of monitoring child growth, and have redesigned their surveillance systems, so that they are more useful in decision-making Each of these aspects has required a major effort of implementation and allocation of resources. Q How can the standards be used. A In addition to the traditional uses of growth curves, the development for the first time of what are known as growth velocity standards provides a set of unique tools for monitoring the rapid and changing rate of growth in early childhood and thus the early identification of children at risk of becoming under - or overweight Likewise, the availability of indicators for body mass index and skinfold thickness are particularly useful for monitoring the growing epidemic of childhood obesity Additionally, the development of what we term Win dows of Achievement for six key motor development milestones provide a unique link between physical growth and motor development sitting without support, hands-and-knees crawling, standing with assistance, walking with assistance, standing alone and walking alone. Q What does it mean when an infant drops below or slips above the lowest level of weight or height for their age Or are the WHO growth standards a one-size that fits all. A It may not necessarily mean there is anything wrong with the child it means that the paediatrician has to pay attention For children up to about 10 years of age, the WHO study and many others have demonstrated that children have the potential to grow similarly on average provided they are given proper care, feeding and immunizations There is no such thing as a one size in growth patterns, but a distribution of values from 0 to 100 percentiles that make it possible for genetically tall and short children to be part of the same healthy distribution. Q How do th e growth standards help achieve the Millennium Development Goals MDGs. A The standards will play an important role at the national, regional and international levels in monitoring progress towards meeting the MDGs 1, 2, 3, 4 and 5 that depend on ensuring proper growth and development of children Until now, an adequate measurement tool did not exist. Q So are the WHO growth standards more useful in developing countries. A No, they are intended to monitor the growth of every child worldwide, regardless of ethnicity, socioeconomic status and type of feeding Many developed countries are concerned about obesity in young children, for example, but have local growth curves that identify the problem only after a child has become obese For such countries, the WHO standards are also a useful tool for identifying overweight and obesity before they become too difficult to prevent or control. Q What difference will the WHO growth standards make for the children themselves. A The WHO standards represent an important step towards achieving the right of every child to grow and be healthy They provide sound scientific evidence that young children from different regions experience, on average, similar growth patterns when their health and nutrition needs are met As such, they can also be used to assess compliance with the UN Convention on the Rights of the Child, which recognizes the duties and obligations to children that cannot be met without attention to normal human development Derived from a worldwide sample of children, the WHO Growth Standards show that environmental differences rather than genetics are the principal determinants of disparities in physical growth. Q How will the WHO growth standards support implementation of the WHO Global Strategy on Infant and Young Child Feeding. A The standards are a crucial new tool for monitoring infant and child growth and for evaluating efforts to implement the global strategy As such, they provide a means to advocate for the protection, prom otion and support of breastfeeding and adequate complementary feeding Full implementation of the objectives of the global strategy will enable supportive environments for mothers to breastfeed their children The WHO growth standards provide the necessary measurement and evaluation tool for parents, caregivers, health practitioners, policy-makers and advocates with which to monitor healthy growth, ensure timely screening and treatment and recommend and follow appropriate nutritional practices. Microsoft Training Plan Schedule Template. Free Download Share. Create a Basic Outline of Your Training Session. Every training activity comprises sessions, classes, events and lot of small details which you must be aware of at all times A skipped session can result into heavy loss if you have not been paying attention To rectify this, download training schedule template for free and always stay in touch with your next session. Why Do You Need Training Schedule Template. Training Organisation helps you to gain that much needed expertise and experience which can lead you to your goal achievement By remaining in control of your surroundings, you sign yourself up to the sweet success at the end of your training plan template. Like every other course of action, training session also needs planning and implementing of effective techniques to reach your goal work schedule template Now, there are a hundred little details to take care of such as objective of the training, time, location of the training center, calendar, and tests at the ends and so on. Fix your training schedules competently and never miss a session. If you have any DMCA issues on this post, please contact us. Thursday, April 12, 2012.Buying SVXY Calls when the VIX Spikes. Based upon some of the emails I have received this week, it appears that a number of readers have been focused on buying some of the inverse VIX ETPs notably XIV and SVXY when they saw the VIX spike Some have preferred shorting VXX TVIX and UVXY based partly on availability, while others have preferred to trade VXX options, generally by buying puts or limiting risk with the likes of a bear call spread. I had thought that my recent Options on UVXY and SVXY Open Up New VIX ETP Trading Approaches might nudge some traders into considering strategies involving the 2x leveraged long VIX short-term futures ETF UVXY and perhaps utilize the -1x short VIX short-term futures ETF SVXY as well, but based on the volumes, these issues are still in the process of gaining a broader audience In fact, UVXY did see record call volume of 7300 contracts on Tuesday, but SVXY has been the laggard so far, as the graphic below illustrates. So here is a thought the next time the VIX has a significant spike, one of the first trades you should investigate is fading that spike by buying SVXY out-of-the-money calls This is a simple trade and has the potential to be quite profitable The SVXY April 90 calls, for instance, have jumped 40 from Tuesdays close. The exciting news a bout options on SVXY and UVXY is that traders can now easily structure a broad variety of trades that involve defined risk and substantial upside While VXX and VIX options are still the gold standard in terms of liquidity, SVXY and UVXY options also deserve some love even if the spreads are still wider than those of VXX. Disclosure s long XIV and SVXY, short VXX, TVIX and UVXY at time of writing Livevol is an advertiser on VIX and More. Tuesday, March 27, 2012.Options on UVXY and SVXY Open Up New VIX ETP Trading Approaches. Whether or not I find it useful to flog the wounded horse otherwise known as the VelocityShares Daily 2x VIX Short-Term ETN TVIX , it seems as if investors and the media insist that the wild and crazy story of this 2x VIX futures ETN remain on the front page for now. While the TVIX story is indeed a fascinating one see links below for more details , I fear it has crowded out a potentially more useful development from last week that has been criminally overlooked, the la unch of options on two important VIX ETFs. ProShares Ultra VIX Short-Term Futures ETF UVXY. ProShares Short VIX Short-Term Futures ETF SVXY. First off, note that the fact that these two products are exchange-traded funds instead of exchanged-traded notes means that it was much easier for options to be approved While their more famous ETN counterparts, TVIX and XIV grab most of the headlines, the addition of options means that traders now have much more flexibility in terms of strategy and tactics with UVXY and SVXY. In the past when I have mentioned how options on VIX ETPs were critical to their long-term success, I was met with a few electronic blank stares Part of this reflects that fact that many have been drawn to the VIX ETPs for the potential to reap huge profits in a short period of time more on this in The Trader Development Stage Model and the Jump from Stocks to Options with leveraged trades Talk to most professional options traders, however, and leverage is rarely a factor they mention as a reason for their focus on options trading In fact, pros are more likely to cite the two key advantages of options as their flexibility and ability to structure defined risk or limited risk trades. This brings me back to options on UVXY and SVXY With UVXY down 83 for the quarter as of yesterdays close, one would think that defined risk positions on the long or short side would be a critical factor in structuring future trades With the huge contango and negative roll yield currently in the VIX futures, a directional bet in either direction entails huge risk For shorts, this means that a short position can have its risk capped by buying UVXY calls For longs this means that a long position can also limit risk by buying puts. There are other ways to implement defined risk trades, notably with vertical credit spreads and vertical debit spreads where gains and losses are limited to the distance between strikes Traders can also just simply buy puts and calls to put a directional ide a to work, knowing that their maximum loss will be limited to the purchase price. In hard to borrow situations which are common with some VIX ETPs traders can also use options to create a synthetic position For instance, a long put plus a short call is the equivalent of a synthetic short, so if no shares are available to borrow, a synthetic position might be an excellent proxy, with the same profit and loss potential as a standard short position, yet typically tying up a lot less trading capital. Note that the markets for options in UVXY and SVXY are only one week old and not particularly liquid at this stage On the other hand, volumes are ramping up quickly see graphic of UVXY options volume, etc below and the flexibility and risk control inherent in options products makes these attractive, particularly so when applied to highly volatile products like UVXY and SVXY. Disclosure s long XIV and SVXY, short TVIX and UVXY at time of writing Livevol is an advertiser on VIX and More. Monday, Aug ust 17, 2009.How to Trade the VIX. Based upon the search terms that are landing visitors on the blog this morning, it seems as if many readers are interested in how to trade the VIX This question really boils down to two separate issues strategies and trading vehicles. Since I have talked about strategies repeatedly in this space in the past, I thought I would offer a quick summary of trading vehicles today. First off, it is not possible to trade the VIX directly Formally known as the CBOE Volatility Index, the VIX calculates market expectations of 30 day implied volatility for SP 500 index options The VIX sometimes referred to as the cash or spot VIX is a statistic that the CBOE calculates and disseminates every 15 seconds during the trading day While widely disseminated, this statistic is not available for purchase. Fortunately, there are a number of VIX derivatives that allow traders to take positions on the VIX without owning the underlying In no particular order, they are. VIX options these include standard options as well as VIX binary options. VIX futures standard VIX futures contracts have a contract size of 1000 times the VIX the recently added mini-VIX futures have a contract size of 100 times the VIX. VIX ETNs currently consists of two exchange traded notes the iPath SP 500 VIX Short-Term Futures ETN VXX and the iPath SP 500 VIX Mid-Term Futures ETN VXZ The former targets one month VIX futures and the latter targets five month VIX futures. In addition to VIX products, one can always trade options on the SPX or SPY A long VIX position is very similar to a long SPX straddle or strangle a short VIX position is very similar to a short SPX straddle or strangle. For some additional reading on these subjects, readers are encouraged to check out. Virtual Stock Trading for Kids. Are you looking for ways to teach kids about how the stock market works Ive found a couple of stock trading games for kids that will simulate real-life trading and give kids a sense of what its like to invest in the real stock market. Create public or private games with a cash balance you set. Choose from thousands of available games. Test your strategy with a personal portfolio. Leverage powerful news and research resources from MarketWatch. Their virtual stock exchange allows you to practice buying and selling real stocks using imaginary money for the purpose of gaining experience with stock trading This is also known as paper trading or fantasy trading. Recommended book for further investing instruction. The Best Indicator it operates around the clock and has high liquidity and tight spreads Futures are standardized contracts to buy or sell certain assets at specified prices in the future, with a market that is well regulated and quite transparent for investors Options are financial instruments that give you the right to buy, sell or keep certain assets at set prices when the expiration date matures. Best Strategies for FOREX Trading. As mentioned, there are no particular best strategi es for FOREX trading Novice investors must begin by learning the basics of FOREX trading You must be patient and invest your money gradually to avoid huge losses, and consult a FOREX broker or agent to assist you in setting up an account in your preferred option Finally, acquire a suitable FOREX trading platform to assist you in trading FOREX online effectively from the comfort of your home.

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