Tampilkan postingan dengan label petrolul. Tampilkan semua postingan
Tampilkan postingan dengan label petrolul. Tampilkan semua postingan

Senin, 23 Mei 2016

Position Size - forex trading times london

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Position Size ~ forex trading times london


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

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Selasa, 17 Mei 2016

Petrolul a format un Three Drive Pattern - forex trading platform for android phones

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Petrolul a format un Three Drive Pattern ~ forex trading platform for android phones


Petrolul a retestat ieri minima din 24.08 ?i chiar ne-a oferit o minim? sub aceasta , la 37.78. Dup? cum putem vedea în graficul de 4 ore, petrolul a definit un model Three Drive ce ne sugereaz? o posibil? intrare într-un raliu mai amplu.
Consider?m c? pre?ul s-ar putea respinge din linia de suport ?i s? se îndrepte spre 42.27/ 42.84. Dac? aceast? prim? zon? de rezisten?? va fi str?puns? consider?m c? urm?toarea zon? de targetare ar putea fi în zona lui 46.21/46.77. Ne preg?tim pentru o posibil? intrare long pe aceast? zon? de suport cu un stop loss sub 36.50/36.40.

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


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Rabu, 04 Mei 2016

Bands Volatility Scalping - forex trading times nz

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Bands Volatility Scalping ~ forex trading times nz


Bands Volatility Scalping is a trend following strategy, the purpose of this system is find the trend after an explosion of volatility.
Time Frame
test 150-220 360 ticks (this strategy works best on time frames based on ticks);
1 min time frame.
Currency pairs:EUR/USD, GBP/USD
Sessions London and New York.
Indicators:
Bollinger Bands (12, 1, 1)
Envelopes ( 3 pèeriod, 1, deviation: 0.01);
I use these previous indicators for determine the new trend.
ADX (14) for examine the strength of new trend.
Long entry when the following signals take place: The candle is closed, and it price is above of the upper band of Bollinger bands and Envelope
ADX ( Average Directional Movement Index) line value is higher than 30 but lower than 50 which means that the trend is probably good.
D+ line is > D- line.
Exit long: when the current price is below of the Envelopes line or the middle line of the Bollinger Bands. Initial stop loss on the previous low swing. Set also trailing stop and an optional fast profit. target.

Bands Volatility Scalping















Short entry when the following signals take place: The candle is closed, and it price is below of the lower band of Bollinger bands and Envelope
ADX ( Average Directional Movement Index) line value is higher than 30 but lower than 50 which means that the trend is probably good.
D- line is > D+ line.
Exit short: when the current price is above of the Envelopes line or the middle line of the Bollinger Bands. Initial stop loss on the previous high swing. Set also trailing stop and an optional fast profit. target.
Bands Volatility Scalping
Bands Volatility Scalping

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Selasa, 03 Mei 2016

Petrolul marcheaza cel de al doilea nivel de target vizat - forex trading platforms south africa

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Petrolul marcheaza cel de al doilea nivel de target vizat ~ forex trading platforms south africa


Ieri am postat pe blog o analiza pe US Oil (WTI) in care spuneam:
"US Oil (WTI) a jucat ieri cu eleganta intre unghiul 1x1 si 2x1. Dupa ce a realizat o minima pe graficul de 4H in zona lui 34.20, petrolul a intrat in raliu si a accelerat pe unghiul 1x1. Ritmul accelerat a fost insa de scurta durata. Dupa cum putem vedea in graficul de mai sus pretul a desenat un foarte frumos pattern armonic. Pe unghiul 1x2 pretul a realizat piciorul XA. Dupa ce a realizat topul A, pretul a realizat o miscare tip zig zag cu o prima escala de suport pe unghiul 1x1 si cea de a doua pe unghiul 2x1 unde a finalizat piciorul AB. Dupa realizarea minimei din punctul B pe unghiul 2x1 pretul a intrat in miscare ascendenta si a retestat, de aceasta data ca nivel de rezistenta, unghiul 1x1 unde a finalizat piciorul BC. In acest moment pretul se misca descendent si se apropie de primul target situat in zona unghiului 3x1 aflat in confluenta cu minima punctului B. Daca aceasta zona va fi strapunsa cel mai probabil, pretul va cauta zona de suport dinamic a unghiului 8x1 pentru finalizarea piciorului CD. Aceea este zona ideala pentru deschiderea unei pozitii long cu un risc redus si un bun potential de profit."


Dupa cum se poate vedea in graficul postat mai sus, piata ne-a confirmat asteptarile si in acest moment pretul se gaseste pe nivelul de suport dinamic al unghiului 8x1, zona unde noi am avut fixat cel de-al doilea target. Am marcat partial profitul realizat  si suntem in free trade.

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

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

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Selasa, 12 April 2016

Petrolul a ajuns pe zona de target - forex trading platforms explained

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Petrolul a ajuns pe zona de target ~ forex trading platforms explained


US Oil (WTI) ne-a confirmat scenariul de tranzactionare postat dimineata si a ajuns pe prima noastra zona de targetare. Marcam partial profitul si mutam nivelul de stop loss la BE+. Ramanem short in free trade.

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

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

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Rabu, 30 Maret 2016

24 48 EMAs Crossover - forex market hours nz

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24 48 EMAs Crossover ~ forex market hours nz


EMAs crossover is a swing type strategy to trend following.
Time Frame 30min, H1, H4. (30 min good time frame for this forex strategy)
Currency pairs: EUR / USD, GBP / USD, USD / CHF, USD / CAD, USD / JPY, AUD / USD, GBP / JPY, AUD / JPY.

Indicators:
Exponential moving average (24 periods,);
Exponential movinjg average (48 periods);
Exponential movinjg average (5 periods median price);
Average directional Index (13 periods with 30 level).

Strategy Concept
This forex method used moving averages crossover as alerts of buy and sell. A crossover determine a change of direction of the movement of the price but it can identify also a change of momentum.
The ADX indicator in order to determine the actual power of the momentum of the price.
If ADX is actually above 30 level we can make certain that the momentum is really robust. For this reason we not take trade when ADX (13) is below 30 level.

Buy Setup
ADX 13 > level 30
D+ >D-
Exponential moving average 24 cross above Exponential moving average 48
Buy when the price, returns and bounce on the EMA 5.
Set stop loss at the previous low swing or below EMA 48.
Profit Target ratio stop loss 1.3 or more.
24/48 EMAs Crossover
24/48 EMAs Crossover















Sell Setup
ADX 13 > level 30
D ->D+
Exponential moving average 24 cross below Exponential moving average 48
Sell when the price, returns and bounce on the EMA 5.
Set stop loss at the previous high swing orabove EMA 48.

Profit Target ratio stop loss 1.3 or more.
24/48 EMAs Crossover
24/48 EMAs Crossover


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Selasa, 29 Maret 2016

CCI Flash Scalping - forex trading hours london time

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CCI Flash Scalping ~ forex trading hours london time


CCI flash scalping is a forex tradind system trend momentum very fast. A nice little 5-minute system – ideal for riding London morning session trends.
Time Frame 5 min.
Currency pairs: EUR/USD, GBP/USD.
Indicators:
Commodity channel Index (20 period close);
Exponential moving average (34 period, close).

CCI Flash Scalping trading rules
Sell
For a SELL trade we want price to be trending down and BELOW the 34ema.
We SELL when the CCI(20) crosses down BELOW the -90 line(level).
Buy
For a BUY trade we want price to be trending down and ABOVE the 34ema.
We BUY when the CCI(20) crosses down ABOVE the +90 line(level).

Exit position at the opposite conditions or make profit with target 5-7 pips.

Initial stop loss 15-20 pips.
CCI Flash Scalping
CCI Flash Scalping

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Sabtu, 26 Maret 2016

The Trailing Stop - forex trading hours monday friday

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The Trailing Stop ~ forex trading hours monday friday


Definition: A trailing stop is a dynamic order that moves up with new highs (long) or down with new lows (short) in the market so as to preserve some predetermined proportion of open trade profit.
The trailing stop is constructed in a manner that continuously advances a stop in the direction of a profitable market move during the life of the trade. A trailing stop to protect a long position will move up as the market advances. A short trailing stop protects a short position in a declining
market.
It is also central to the concept of the trailing stop that it does not retreat. In other words, once a new high or low has been established and a new higher or lower trailing stop has been calculated, it is never moved lower or higher if the market moves against the trade.
The ideal trailing stop preserves as much open trading profit as possible while at the same time providing enough breathing room to encompass the market volatility that is a part of all trades. The vast majority of trades do not go straight in one direction without pullback. Ideally, the trailing stop will allow for these natural pullbacks and exit when the main thrust of the trade is ended.
There are endless potential trailing stop variations. Let us look at examples of two relatively common types of trailing stops: dollar and volatility.
Definition: A trailing dollar profit stop is an order to exit a position and is set at a fixed dollar value above the most current low price (short) or below the most current high price (long).
A trailing volatility profit stop is an order to exit a position and is set at a point value based upon some measure of market volatility above the most current low price (short) or below the most current high price (long).
The key to a successful trailing stop is to find that price level in the life of a trade, which, if penetrated, tells us that the move captured by the profitable trade is over. Of course, there are many ways to do this and it is left to the strategist to find that style of trailing stop most organically
suitable to his strategy.
Trailing stop
Trailing stop

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Sabtu, 19 Maret 2016

Awesome momentum daily trading system - forex market hours jan 2

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Awesome momentum daily trading system ~ forex market hours jan 2


Awesome momentum daily trading system is a momentum trading system.
This system will work daily time frame.
Currency pairs: any.
Two indicators are used – one for trend and one to trigger our entry.
The indicators:
Momentum (using 100 setting).
Awesome Oscillator

Trading rules Awesome momentum daily trading system
Buy
We only look to BUY when Momentum indicator is ABOVE 100.
We then BUY when the Awesome crosses from below 0-line to ABOVE 0- line.

Sell
We only look to SELL when Momentum indicator is Below 100.
We then Sell when the Awesome crosses from below 0-line to Below 0- line.

Profit: 100-140 pips.

Place your stop above the most recent swing high in a down trend market or below the most recent swing low in an uptrend market.
Awesome momentum daily trading system
Awesome momentum daily trading system













Awesome momentum daily trading system
Awesome momentum daily trading system


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