Teknik trading forex 5644
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Para eso empiezo a negociar futuros ingeniosos y opciones una cuenta de Demat en Reliance y conseguí el dispositivo de la cuenta. Sebelumnya, ajusta la orientación FY16. 15 de septiembre 2015Gold precios en términos por debajo de los cuales los precios podrían bajar la línea de tendencia de apoyo en el comercio diario de divisas sobre el margen. Maxis dando fuera premiere pasa para Star Wars La fuerza despierta película 4.
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FOREX WANNABE Tekink Forex Ejército. El comercio de Teknik forex 5644 contenido en este informe es propiedad de Royal Bank of Canada y no puede ser reproducido de ninguna manera, un tipo de moneda diferente.
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Revisar el comercio de divisas para los tontos - Robert Beveridge - Goodreads.
GBP / USD: Resistencia a la rotura en 1.5644
EUR / USD
El EUR / USD ha estado negociando la gama durante varios días entre la resistencia cada hora en 1.1278 (alto 29/06/2015) y el soporte por hora en 1.0916 (baja 07/07/2015). Resistencia más fuerte se encuentra en 1.1436 (18/06/2015 alta). Sin embargo, esperamos que el soporte en 1.0916 sea desafiado.
A largo plazo, el triángulo simétrico de 2010-2014 favorece una mayor debilidad hacia la paridad. Como resultado, vemos los movimientos laterales recientes como una pausa en una tendencia descendente subyacente. Los soportes clave se pueden encontrar en 1.0504 (21/03/2003 baja) y 1.0000 (apoyo psicológico). La ruptura al alza sugeriría una prueba de la resistencia en 1.1534 (03/02/2015 reacción alta).
Libra esterlina
Resistencia a la rotura a 1.5644.
GBP / USD ha roto la resistencia en 1.5644 (03/07/2015 baja). Resistencia más fuerte se da en 1.5803 (24/06/2015 alto). El soporte por hora se da en 1.5330 (mínimo 08/07/2015). Sin embargo, esperamos que el par disminuya de nuevo en los próximos días.
A más largo plazo, la estructura técnica se parece a un fondo de recuperación cuyo máximo potencial alcista está dado por la fuerte resistencia a 1.6189 (Fibo 61% de entrada).
USD / JPY
Empujando hacia la resistencia a 124.45.
USD / JPY está empujando hacia la resistencia a 124,45 (17/06/2015 de alta). La resistencia más fuerte todavía está en 135.15 (alto de 14 años). El apoyo horario se da en 120.41 (08/07/2015 baja). Mientras la resistencia en 124.45 no se rompa, seguimos siendo bajista en el par.
Un sesgo alcista a largo plazo es favorecido siempre y cuando el fuerte apoyo en 115.57 (16/12/2014 baja) se mantiene. Se favorece un aumento gradual hacia la resistencia mayor en 135.15 (01/02/2002 alta). Un soporte clave se puede encontrar en 118.18 (16/02/2015 baja).
USD / CHF
La resistencia en 0.9543 se mantiene de nuevo.
USD / CHF se aproxima una vez más resistencia horaria a 0.9543 (27/05/2015 alta). Resistencia más fuerte se puede encontrar en 0.9719 (23/04/2015 alto). El soporte por hora se puede encontrar en 0.9151 (18/06/2015 baja). Es probable que el par elimine la resistencia horaria a 0,9543.
En el largo plazo, no hay ningún signo que sugiera el final de la actual tendencia bajista. Después de fracasar para romper por encima de 0.9448 y restablecer la tendencia alcista. Como resultado, la debilidad actual se ve como un movimiento de contra-tendencia. El soporte clave se puede encontrar 0.8986 (30/01/2015 bajo).
USD / CAD
USD / CAD no pudo mantener por encima de la resistencia roto en 1.2780 (07/07/2015 alta). El soporte horario se da en 1.2540 (mínimo 02/07/2015). El soporte horario más fuerte se puede encontrar en 1.2363 (30/06/2015 baja). Seguimos optimistas en el par, siempre y cuando la estructura técnica sugiera un impulso al alza.
A largo plazo, la ruptura del soporte clave en 1.2352 (03/02/2015 baja) indica presiones de venta crecientes, lo que favorece una mayor debilidad a medio plazo. Como resultado, una parte superior significativa probablemente se ha hecho en 1.2835 (18/03/2015 alta). Soporte se puede encontrar en 1.1731 (06/01/2015 bajo).
AUD / USD
AUD / USD se está consolidando alrededor de 6 años de baja en 0.7372 (08/07/2015 baja). El par es probable que disminuya de nuevo. La resistencia por hora se da en 0.7739 (01/07/2015 alta).
En el largo plazo, no hay ningún signo que sugiera el final de la actual tendencia bajista. Los soportes clave se sitúan en 0.6009 (31/10/2008 baja) y 0.7000 (umbral psicológico). Se necesita una ruptura de la resistencia clave en 0.8295 (15/01/2015 alta) para invalidar nuestra visión bajista a largo plazo. Además, todavía notamos que el par se mantiene muy por debajo del 200-dma que confirma las presiones de venta.
GBP / JPY
GBP / JPY sigue moviéndose fuertemente más alto. Resistencia por hora se puede encontrar en 195,88 (año de alta). Resistencia clave se da en 197,45 (26/09/2008 arriba). Esperamos que el par se consolide a este nivel.
A largo plazo, la falta de cualquier patrón de reversión bajista a mediano plazo favorece un sesgo alcista. La prueba exitosa del fuerte soporte en 175.51 (03/02/2015 baja) indica un interés de compra persistente. Las resistencias clave están en 197.45 (26/09/2008). Una área importante de apoyo se puede encontrar entre 169.51 (11/04/2014 baja) y 167.78 (18/03/2014 baja).
EUR / JPY
EUR / JPY está en el rango de negociación entre el soporte horario a 133.11 (05/05/2015 baja) y la resistencia se encuentra en 141.06 (04/06/2015 de alta). No obstante, esperamos que el par desafíe nuevamente el soporte en 133.11.
A más largo plazo, la ruptura del soporte en 130.15 valida una sucesión a medio plazo de los máximos más bajos y los mínimos más bajos. Como resultado, la resistencia en 149.78 (máximo 08/12/2014) probablemente ha marcado el final de la subida que comenzó en julio de 2012. Soporte clave está en 124,97 (13/06/2013 baja) y 118,73 (25/02 / 2013 baja). Una resistencia clave se puede encontrar en 136.70 (11/02/2015 alta).
EUR / GBP
Aproximación al nivel psicológico en 0.7000.
EUR / GBP sigue disminuyendo. El soporte por hora se da en 0.6988 (29/06/2015 baja) y la resistencia se puede encontrar en 0.7251 (16/06/2015 alta). La estructura a corto plazo sigue mostrando un impulso negativo. Apuntamos al nivel psicológico en 0.7000 dentro de las próximas semanas.
A largo plazo, los precios se encuentran en una tendencia subyacente a la baja. Las condiciones generales de sobreventa sugieren un limitado potencial a la baja a mediano plazo. Una resistencia clave se encuentra en 0.7592 (03/02/2015 alta).
EUR / CHF
EUR / CHF se mantiene en un rango por encima del soporte en 1.0234 (20/04/2015 baja) y por debajo de la resistencia en 1.0602 (22/03/2015 de alta). El SNB ha declarado claramente que intervendrán mientras el franco suizo se fortalezca. Sin embargo, el par está orientado hacia abajo.
El EUR / CHF está digiriendo su declinación aguda del 15 de enero. Una resistencia clave se sitúa en 1.1002 (02/09/2011 baja). Es probable que el programa QE del BCE provoque presiones de venta persistentes sobre el euro, que debería pesar en EUR / CHF. Los soportes se pueden encontrar en 1.0184 (28/01/2015 baja) y 1.0082 (27/01/2015 baja).
ORO (en USD)
El momento de la desventaja continúa.
El oro está a la deriva más bajo. El apoyo horario se da en 1142 (17/03/2015 baja). La resistencia por hora todavía está en 1188 (23/06/2015). Además, el metal está estableciendo niveles más bajos. Seguimos siendo bajistas en las próximas semanas.
A largo plazo, la tendencia bajista subyacente (véase el canal en declive) continúa favoreciendo un sesgo bajista. Aunque el apoyo clave en 1132 (07/11/2014 baja) ha mantenido hasta el momento, una ruptura de la resistencia en 1223 se necesita para sugerir algo más que un rebote temporal. Un apoyo importante se puede encontrar en 1045 (05/02/2010 bajo).
PLATA (en USD)
El impulso a la baja a corto plazo continúa.
La plata está disminuyendo hacia el soporte a 14.42 (01/12/2014 baja). La resistencia se puede encontrar en 16.53 (04/06/2015 alto). Resistencia clave se puede encontrar en 17,75 (18/05/2015 de alta).
A largo plazo, la ruptura de la mayor área de soporte entre 18,64 (30/05/2014 baja) y 18,22 (28/06/2013 baja) confirma una tendencia bajista subyacente. Sin embargo, el fuerte apoyo a 14,66 (05/02/2010 baja) ha mantenido hasta el momento y los precios se han consolidado. Una resistencia clave se encuentra en 18.89 (16/09/2014 alta).
Diferentes tipos de corredores
Tabla de contenido
Es posible que no quiera saberlo, pero hay diferentes tipos de corredores de Forex. El principal de estos son Corredores de Operaciones (DD) y No Dealing Desk (NDD). Por supuesto, usted se está preguntando probablemente cómo usted puede tratar si no tienen un escritorio que negocia, pero se pegan alrededor y we†™ ll explican.
Agentes de negociación son también conocidos como fabricantes de mercado. Mientras tanto, los corredores No Dealing Desk pueden dividirse en STP (Procesamiento Directo) y ECN + STP - Red de Comunicación Electrónica + Procesamiento Directo. No se preocupe: todo se hará claro.
Negociación Los corredores de escritorio hacen su dinero a través de spreads, y también proporcionan liquidez a sus clientes. También se conocen como fabricantes del mercado, puesto que literalmente crean un mercado para sus clientes, tomando a menudo el otro lado del comercio del cliente. Ofrecen una cotización de compra y venta, de modo que llenan tanto las órdenes de compra como de venta del cliente.
Los fabricantes de mercado controlan los precios a los que van a llenar las órdenes, por lo que también pueden establecer spreads fijos con muy poco riesgo para sí mismos. Este es un beneficio para usted como un comerciante, que we†™ ll explicar más tarde.
Como cliente de un corredor de DD, no se mostrarán las tasas reales del mercado interbancario, pero esto no es un problema, ya que la competencia entre los corredores individuales es feroz, y usted encontrará que las tarifas ofrecidas están muy cerca de - Si no es lo mismo que - las tasas interbancarias.
Vamos a echar un vistazo a un ejemplo. Supongamos que desea comprar un lote estándar de 100.000 unidades de GBP / USD. Su corredor intentará primero encontrar uno de sus otros clientes que tenga una orden de venta del mismo tamaño. Si no pueden hacer eso, pasarán su orden a su proveedor de liquidez. De esta manera, minimizan su riesgo ya que ganan de la propagación sin tener que hacer el otro lado de su comercio ellos mismos.
Sin embargo, si no pueden encontrar ninguna orden que empareje, tienen que tomar el otro lado de su oficio. Cada corredor tendrá diferentes políticas sobre la gestión de riesgos - que obviamente quieren minimizar en la medida de lo que se refiere & # 8211; Por lo que necesita comprobar exactamente lo que son.
Entonces, ¿qué es un agente de No Dealing Desk? Básicamente, lo que están haciendo es conectar dos entidades, usted y un comerciante que está ofreciendo el lado opuesto del comercio que desea colocar. Ganan dinero ganando un margen de aumento al aumentar la propagación un poco, o mediante el cobro de una pequeña comisión. NDD corredores pueden ser STP o STP + ECN corredores.
¿Cuál es la diferencia?
Un corredor de Straight Through Processing dirigirá directamente su pedido a su proveedor de liquidez que podrá acceder al mercado interbancario. La mayoría de los corredores NDP STP tienen un gran número de proveedores de liquidez, cada uno de los cuales tendrá su propia oferta / tasa de solicitud.
Como ejemplo, digamos que los precios de oferta y de oferta de diferentes proveedores de liquidez son los siguientes.
El primer proveedor de liquidez tiene un precio de oferta de 1.4540 y pide de 1.4543
El siguiente proveedor de liquidez muestra un precio de oferta de 1.4541 y solicita de 1.4543
Tercer proveedor de liquidez tiene un precio de oferta de 1.4542 y pedir de 1.4544
El sistema de su corredor entonces clasificará éstos hacia fuera en la oferta mejor y peor y pida cotizaciones. En este ejemplo, la mejor cotización de la oferta es 1.5642, porque usted quiere vender al precio más alto, y el mejor precio de la oferta is1.5643, porque usted quiere comprar para tan poco como sea posible.
Una vez que el sistema de su broker ha solucionado esto, su oferta / pregunta es ahora 1.4542 / 1.4543.
¿Es este el precio que verás en tu plataforma?
No, no seas tonto. Su corredor quiere un corte en este acuerdo, así que lo que suele suceder es que va a añadir un pequeño mark-up. Digamos que esto es 1 pip. Lo que se citará es 1.5641 / 1.5644. Aunque la mejor propagación es sólo 1 pip, se convierte en una propagación 3 pip para usted.
Cuando usted dice que desea comprar un lote estándar de 100.000 unidades de GBP / USD en 1.5644, su pedido va a la primera o segunda proveedor de liquidez cada uno de los cuales tiene una posición corta de 1.5643, mientras que tiene una posición larga de 1.5644 . Así que su agente ha ganado 1 pip en el trato.
Debido a que las cotizaciones bid / ask son variables, esta es también la razón por la cual su broker probablemente tiene spreads variables. Cuando los márgenes de sus proveedores de liquidez se amplían, tienen que ampliar los suyos también. Ciertamente, hay algunos corredores que ofrecen fijas se extiende, pero la mayoría de ellos no lo hacen.
Entonces, ¿qué es un corredor ECN? Un corredor ECN (corredor de la Red de Comunicación Electrónica) permite que la orden del cliente interactúe con los otros participantes en la ECN. Estos podrían ser varios bancos, fondos de cobertura, otros comerciantes al por menor, o incluso otros corredores. Para decirlo de la manera más sencilla, todos los participantes negocian entre sí, citando sus mejores precios de oferta / demanda. Además, ECN†™ s también le permiten ver el "Décimo de MarketÂ". Esto le permite ver los pedidos de compra y venta de los otros participantes. También hace difícil para los corredores de ECN cobrar un margen fijo, por lo que la mayoría de ellos cobrará una comisión pequeña en la transacción.
Descargo de responsabilidad Puede haber un alto grado de riesgo en el comercio de divisas y por esta sola razón, algunos inversores pueden decidir que no es adecuado para ellos. Hay un grado considerable de apalancamiento involucrado que, aunque puede trabajar en su favor, también puede trabajar en su contra. Debe tomar nota cuidadosa de su nivel de experiencia, su propósito para invertir, y cuánto riesgo está preparado para aceptar. Es siempre posible que usted podría perder una parte, o incluso todos, o su inversión inicial, y se sigue que usted debe nunca invertir cualquier dinero que usted no puede permitirse para perder. Esto se aplica a cualquier forma de inversión. Hay ciertos riesgos asociados con el comercio de divisas, y si tiene alguna duda, debe tomar el asesoramiento de un asesor financiero independiente.
Cualquier opinión ofrecida en FXHQ son opiniones de autores individuales, y no necesariamente coinciden con las opiniones de FXHQ o la dirección de la empresa. Los errores y omisiones pueden ocurrir en las declaraciones hechas por u opiniones expresadas por los autores individuales, y se deben tener en cuenta que no se FXHQ y no ha verificado la exactitud o inexactitud de cualquiera de tales opiniones o declaraciones. FXHQ no ofrece asesoramiento en materia de inversiones y, en consecuencia, cualquier información de este sitio web, incluidos informes de prensa, opiniones, precios, investigaciones y análisis, se ofrece como comentario al mercado y no constituye asesoramiento especializado en inversiones, ya sea ofrecido por FXHQ, sus empleados , Socios, autores u otros colaboradores. Al considerar cualquier inversión, siempre debe hacer su propia diligencia debida. FXHQ, sus empleados, socios, autores o contribuyentes, no aceptarán y no aceptarán responsabilidad alguna por cualquier pérdida o daño sufrido por usted por cualquier decisión de inversión que pueda tomar por el uso de cualquier información proporcionada. Esto incluye cualquier pérdida de beneficios, sin limitación.
& Copy; 2015 "FXHQ INC. FOREX HeadQuarters" Todos los derechos reservados.
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No se pudo encontrar la página solicitada. A continuación presentamos una lista de algunos de los Servicios de Divisas y Divisas de OANDA:
Herramientas de divisas
Negociación de divisas
OANDA fxTrade: & # 160; Comercio en línea de forex
Cuenta demo de comercio de divisas. Practique el comercio de divisas con la versión de demostración de OANDA de su plataforma de comercio de divisas.
OANDA fxMessage: & # 160; Una comunidad abierta creada por personas interesadas en el mercado forex.
Herramientas de cambio para inversionistas
Gráfico de Divisas (fxAnalysis). Java basado en la herramienta de apoyo a la decisión que permite a los inversores de divisas para analizar las divisas múltiples gráficamente.
Noticias del Mercado Cambiario. Intradía los niveles de mercado de divisas y editoriales.
Servicios de divisas para empresas
Tipos de cambio y servicios de datos. Principio de la línea, Foreign Exchange Protocol, automatiza la recuperación de tipos de cambio de divisas directamente a su tienda en línea o negocio.
Moneda de cobertura. Servicios de consultoría profesional.
Localización de monedas para su tienda en línea. Localice los precios de catelog en su sitio web para clientes internacionales.
Las tasas de cambio en su caja de correo electrónico (fxMail). Mesas de moneda diarias, semanales o mensuales directamente en su bandeja de entrada de correo electrónico.
& # 169; 1996 - 2016 OANDA Corporation. Todos los derechos reservados. "OANDA", "fxTrade" y la familia "fx" de marcas registradas de OANDA son propiedad de OANDA Corporation. Todas las demás marcas registradas que aparecen en este sitio web son propiedad de sus respectivos propietarios.
La negociación con apalancamiento en contratos de divisas u otros productos fuera de bolsa en el margen conlleva un alto nivel de riesgo y puede no ser adecuado para todos. Le aconsejamos que considere cuidadosamente si el comercio es apropiado para usted a la luz de sus circunstancias personales. Usted puede perder más de lo que invierte. La información en esta página web es de carácter general. Recomendamos que busque asesoramiento financiero independiente y asegúrese de que entiende completamente los riesgos involucrados antes de operar. El comercio a través de una plataforma en línea conlleva riesgos adicionales. Consulte nuestra sección legal aquí.
Las apuestas de spread financiero sólo están disponibles para los clientes de OANDA Europe Ltd que residan en el Reino Unido o la República de Irlanda. CFDs, capacidades de cobertura de MT4 y coeficientes de apalancamiento superiores a 50: 1 no están disponibles para los residentes de los Estados Unidos.
OANDA Corporation es un Comerciante de la Comisión de Futuros registrado y Distribuidor Minorista de Divisas con la Commodity Futures Trading Commission y es miembro de la National Futures Association. No: 0325821. Por favor refiérase a la ALERTA INVERSOR FOREX de NFA donde sea apropiado.
Las cuentas de OANDA (Canadá) Corporation ULC están disponibles para cualquier persona con una cuenta bancaria canadiense. OANDA (Canadá) Corporation ULC está regulada por la Organización de Regulación de la Industria de Inversiones del Canadá (OCRCM) y los depósitos de los clientes están asegurados por el Fondo Canadiense de Protección a los Inversores (CIPF)
OANDA Europe Limited es una empresa registrada en Inglaterra número 7110087 limitada por acciones con domicilio social en la Torre 42, Piso 9a, 25 Old Broad St, Londres EC2N 1HQ y está autorizada y regulada por la Autoridad de Conducta Financiera. No: 542574.
OANDA Asia Pacific Pte Ltd (Co. Reg. No 200704926K) posee una Licencia de Servicios de Mercados de Capital emitida por la Autoridad Monetaria de Singapur y también tiene licencia de la International Enterprise Singapore.
OANDA Australia Pty Ltd está regulada por la Comisión Australiana de Valores e Inversiones ASIC (ABN 26 152 088 349, AFSL No. 412981) y proporciona y es el emisor de los productos y / o servicios en este sitio web. Es importante que considere la actual Guía de Servicios Financieros (FSG). Declaración de divulgación del producto (PDS). Términos de Cuenta y cualquier otro documento pertinente de OANDA antes de tomar cualquier decisión de inversión financiera. Estos documentos se pueden encontrar aquí.
OANDA Japan Co. Ltd. Primer Director de Negocios de Instrumentos Financieros Tipo I de la Oficina Financiera Local de Kanto No. 2137 Número de abonado de la Asociación de Futuros Financieros del Instituto 1571.
Trading FX y / o CFDs en el margen son de alto riesgo y no es adecuado para todos. Las pérdidas pueden exceder la inversión.
El rango GBP / USD es mayor en más de 3 años; 1.5550-1.5600 Potencial de pivote
Gráfico Preparado por Jamie Saettele, CMT usando Marketscope 2.0
Interesado en el comercio automatizado con Mirror Trader.
Análisis FOREX. En el transcurso de varias horas el miércoles, el GBPUSD cotizaba en el mes abierto (1.5205) antes de negociar 300 puntos más alto! El rango fue el más alto desde el 5/7/2010 (día después del desplome del flash, aunque hay que señalar que el rango de hoy del 2.10% está en línea con el rango del 7/1/10 del 2.09%. Todavía hace 3 años) . El movimiento de hoy es una locura, pero no hace nada para cambiar las implicaciones a largo plazo de la ruptura de triángulo de 4 años que ocurrió en febrero. La línea que se extiende fuera de los máximos de enero y junio es justo por encima del mercado. Si el precio se negociara a través del máximo de junio, entonces la línea que se extiende fuera de los máximos de 2007 y 2013 entraría en juego cerca de 1.5800.
Estrategia de comercio FOREX. Los cortos estaban fuera en el límite de la mitad en 1,5250 y se detuvo en la mitad a 1,5440. 1.5550-1.5600 (June top & hellip; .6 / 6 y 6/7 se cierra que son áreas de alto volumen) es un nivel que podría producir una parte superior.
NIVELES: 1.5303 1.5391 1.5433 1.5550 1.5600 1.5644
DailyFX proporciona noticias forex y análisis técnico sobre las tendencias que influyen en los mercados de divisas globales. Aprenda el comercio de divisas con una cuenta de práctica libre y gráficos comerciales de FXCM.
Acabo de responder a una de sus anteriores comentarios en su totalidad - por favor, lea en su totalidad
Siempre estás fabricando - lo que es una vergüenza
Como te he dicho la información sobre el pip 1000 en la UE de 160 días pip como se ha estado en el sitio casi una semana
Usted dice que no lo he hecho, etc etc
Como todo ahora pareces estar diciendo
Compruébelo en
No se preocupe - usted no necesita disculparse por conseguir tantas cosas mal
Ten un excelente fin de semana
No he fabricado nada, te sentiste con tu cara en tu propia sh @ t (que es mucho), no tienes respuestas sólo cr @ p y puedo ver que estás claramente perdiéndolo.
Última edición por Fugazsy; 30 de agosto de 2015 a las 3:11 am.
Nueva casa a partir de septiembre en T2W
El "Intraday viven a corto plazo las llamadas comerciales de un experto comerciante de Forex al por menor & quot; Hilo se trasladará a una nueva casa a partir del 1 de septiembre de 2015 - en la sección de diario de comercio de T2W
Este hilo se cerrará a partir del domingo 30 de agosto de 2015
Me gustaría agradecer a todos por sus comentarios - tanto buenos como malos, pero ahora creo que es justo para todas las partes involucradas que todos sigamos adelante.
Esto permitirá que muchos problemas se resuelvan con sensatez y los miembros que deseen seguir correctamente el hilo pueden hacerlo en un entorno diferente.
La fecha para el cambio fue traída del aniversario de dos años del hilo en octubre - como también estoy ausente el día de fiesta en septiembre - así como algunos de los otros contribuidores.
Solo los comentarios de los moderadores o del personal de T2W se les permitirá permanecer en este mensaje ahora - así que por favor no más comentarios aquí desde ahora
Deseo a todos los miembros de T2W - Buena Trading
Última edición por Forexmospherian; 30 de agosto de 2015 a las 8:01 am.
FOREX TRADING PLATAFORM
Hable con un representante
Visión de conjunto
El Mecanismo de Ejecución de Swap de Thomson Reuters (SEF) lanzado en octubre de 2013 y está regulado por la CFTC. Recibió el estado de aprobación permanente en enero de 2016.
El SEF de Thomson Reuters le permite cambiar electrónicamente los débitos no entregables de FX (FDN) y las opciones de FX a través de la liquidez de solicitud de flujo multibanco (RFS) y un libro de órdenes anónimo.
Con el Thomson Reuters SEF, los clientes se benefician de una solución de mejor ejecución que proporciona un flujo de trabajo completo de extremo a extremo, incluyendo procesamiento directo (STP) y liquidación.
El Thomson Reuters SEF ha sido específicamente desarrollado para permitirle cumplir con sus obligaciones de compensación y reporte como lo exige la Ley Dodd-Frank (DFA), y características:
Múltiples identificadores de entidades legales (LEI), organizaciones de compensación designadas (DCO) por entidad
Derechos para cuentas y usuarios autorizados por SEF
Exenciones de usuario final
Mapeo granular de clientes, usando múltiples entidades legales (DFA o no) para asignar entidades de DFA a clientes de DFA, entidades que no son de DFA a clientes que no pertenecen a DFA
Autorreclaradores y compensación de clientes.
Una sola plataforma
Una plataforma para la negociación de spot FX, forwards, swaps, NDFs y opciones electrónicamente con SEF y ejecución no SEF.
Asegurar una transición suave a cuando los NDFs son obligatoriamente compensados y deben negociarse en SEFs.
Acceda a la liquidez profunda de más de 140 bancos y 1.500 clientes con opción de ejecución mediante RFS multibancarios y flujos anónimos de libros de órdenes.
Optimice el flujo de trabajo
Agilice su flujo de trabajo con una solución completa que incluya el procesamiento directo, la liquidación y la mensajería post-negociación al DTCC ya las cámaras de compensación.
Lograr la mejor ejecución en una plataforma regulada que incluya el cumplimiento, los controles de límite de crédito de transparencia de precios antes del comercio y los informes.
Mercados e industrias
El Thomson Reuters Swap Execution Facility (SEF) - una solución de flujo de trabajo de extremo a extremo en una plataforma de comercio de divisas, con procesamiento directo (STP) y liquidación.
Hable con un representante
Hola Darrel, y cualquier otra persona que lea,
Por favor, vaya al Enlace sugerido por AGB: Comunicado de Prensa CFTC 4628-02
Tengo una copia del LSS GRATIS en disquete del libro al que se refiere. Si quieres una copia, no creo que a G. Angell le importara. Sólo dígame a quién se dedica el libro como prueba de su compra del libro y le enviaré una copia.
Aunque mucho se ha dicho contra él, su libro tiene un montón de pensamientos sólidos sobre la planificación, y el hecho de que todo el mundo va a perder el comercio de dinero. Es importante mantener las pérdidas más pequeñas que las ganancias, la administración del dinero también, etc.
He gastado miles de dólares en libros, semenars y comercio real. Por favor, se dan cuenta de que se tarda años para que la mayoría de acomplish el aprendizaje para obtener plenamente toda la imagen para ser lo suficientemente bueno para el comercio para ganarse la vida. "¡Sólo abre una cuenta con dinero que NO necesitas!" & Quot;
He tenido la suerte de aprender de muchos de los mejores comerciantes.
Al menos eso es lo que siento.
Personas como Welles Wilder, Larry Williams, Gann, Grandmill, Chande, y muchos otros que usted puede o no puede haber oído hablar. Wilder y sus indicadores siguen siendo algunos de los estándares más utilizados en los mercados. He hablado bastante sobre muchas cosas, pero sentí que era necesario para decir que el libro de G. Angell es una buena lectura.
Sé que la mayoría de ustedes se dan cuenta de esto, pero sólo tenía que decir eso. Conozco a alguien que usó el dinero de ahorros que no podía pagar realmente, no tenía el marco adecuado de la mente para el comercio, y debido a varios aspectos de la negociación, como estar preparado y la paciencia para los oficios a desarrollar. Perdió dinero que no podía permitirse.
Una cosa que creo que también debe mencionarse es que la gente debe papel de comercio una cuenta real en primer lugar. También. Darse cuenta de que el comercio de papel NO tendrá el slipage que existe en el mundo real.
También. Como dice Oatman, si el comercio fuera una cosa fácil de hacer, todos estaríamos hablando del tiempo. Probablemente no habría ni siquiera estos foros también. Un producto gratuito no resolverá sus necesidades comerciales. Puede ayudar a su base de conocimientos. Más conocimiento, más éxito en cuanto a qué trabajará para usted.
Nunca dejar de aprender, ser paciente, siempre hay otro oficio. Así que prepárate, ver y esperar. Usted también tendrá que no tener miedo cuando el tiempo es correcto para tomar el comercio. Eso viene del conocimiento y la práctica con el tiempo. Por favor, utilice la gestión del dinero y las paradas!
¡Mejores resultados para todos!
Iniciado por razor130
Hola Darrel, y cualquier otra persona que lea,
Por favor, vaya al Enlace sugerido por AGB: Comunicado de Prensa CFTC 4628-02
Tengo una copia del LSS GRATIS en disquete del libro al que se refiere. Si quieres una copia, no creo que a G. Angell le importara. Sólo dígame a quién se dedica el libro como prueba de su compra del libro y le enviaré una copia.
Aunque mucho se ha dicho contra él, su libro tiene un montón de pensamientos sólidos sobre la planificación, y el hecho de que todo el mundo va a perder el comercio de dinero. Es importante mantener las pérdidas más pequeñas que las victorias, la administración del dinero también, etc.
He gastado miles de dólares en libros, semenars y comercio real. Por favor, se dan cuenta de que se tarda años para que la mayoría de acomplish el aprendizaje para obtener plenamente toda la imagen para ser lo suficientemente bueno para el comercio para ganarse la vida. "¡Sólo abre una cuenta con dinero que NO necesitas!" & Quot;
He tenido la suerte de aprender de muchos de los mejores comerciantes.
Al menos eso es lo que siento.
Personas como Welles Wilder, Larry Williams, Gann, Grandmill, Chande, y muchos otros que usted puede o no puede haber oído hablar. Wilder y sus indicadores siguen siendo algunos de los estándares más utilizados en los mercados. He hablado bastante sobre muchas cosas, pero sentí que era necesario para decir que el libro de G. Angell es una buena lectura.
Sé que la mayoría de ustedes se dan cuenta de esto, pero sólo tenía que decir eso. Conozco a alguien que usó el dinero de ahorros que no podía pagar realmente, no tenía el marco adecuado de la mente para el comercio, y debido a varios aspectos de la negociación, como estar preparado y la paciencia para los oficios a desarrollar. Perdió dinero que no podía permitirse.
Una cosa que creo que también debe mencionarse es que la gente debe papel de comercio una cuenta real en primer lugar. También. Darse cuenta de que el comercio de papel NO tendrá el slipage que existe en el mundo real.
También. Como dice Oatman, si el comercio fuera una cosa fácil de hacer, todos estaríamos hablando del tiempo. Probablemente no habría ni siquiera estos foros también. Un producto gratuito no resolverá sus necesidades comerciales. Puede ayudar a su base de conocimientos. Más conocimiento, más éxito en cuanto a qué trabajará para ti.
Nunca dejar de aprender, ser paciente, siempre hay otro oficio. Así que prepárate, ver y esperar. Usted también tendrá que no tener miedo cuando el tiempo es correcto para tomar el comercio. Eso viene del conocimiento y la práctica con el tiempo. Por favor, utilice la gestión del dinero y las paradas!
¡Mejores resultados para todos!
Hola Razor puedes enviarme un archivo del Sistema LSS Angell
Iniciado por razor130
Hola Darrel, y cualquier otra persona que lea,
Por favor, vaya al Enlace sugerido por AGB: Comunicado de Prensa CFTC 4628-02
Tengo una copia del LSS GRATIS en disquete del libro al que se refiere. Si quieres una copia, no creo que a G. Angell le importara. Sólo dígame a quién se dedica el libro como prueba de su compra del libro y le enviaré una copia.
Aunque mucho se ha dicho contra él, su libro tiene un montón de pensamientos sólidos sobre la planificación, y el hecho de que todo el mundo va a perder el comercio de dinero. Es importante mantener las pérdidas más pequeñas que las ganancias, la administración del dinero también, etc.
He gastado miles de dólares en libros, semenars y comercio real. Por favor, se dan cuenta de que se tarda años para que la mayoría de acomplish el aprendizaje para obtener plenamente toda la imagen para ser lo suficientemente bueno para el comercio para ganarse la vida. "¡Sólo abre una cuenta con dinero que NO necesitas!" & Quot;
He tenido la suerte de aprender de muchos de los mejores comerciantes.
Al menos eso es lo que siento.
Personas como Welles Wilder, Larry Williams, Gann, Grandmill, Chande, y muchos otros que usted puede o no puede haber oído hablar. Wilder y sus indicadores siguen siendo algunos de los estándares más utilizados en los mercados. He hablado bastante sobre muchas cosas, pero sentí que era necesario para decir que el libro de G. Angell es una buena lectura.
Sé que la mayoría de ustedes se dan cuenta de esto, pero sólo tenía que decir eso. Conozco a alguien que usó el dinero de ahorros que no podía pagar realmente, no tenía el marco adecuado de la mente para el comercio, y debido a varios aspectos de la negociación, como estar preparado y la paciencia para los oficios a desarrollar. Perdió dinero que no podía permitirse.
Una cosa que creo que también debe mencionarse es que la gente debe papel de comercio una cuenta real en primer lugar. También. Darse cuenta de que el comercio de papel NO tendrá el slipage que existe en el mundo real.
También. Como dice Oatman, si el comercio fuera una cosa fácil de hacer, todos estaríamos hablando del tiempo. Probablemente no habría ni siquiera estos foros también. Un producto gratuito no resolverá sus necesidades comerciales. Puede ayudar a su base de conocimientos. Más conocimiento, más éxito en cuanto a qué trabajará para usted.
Nunca dejar de aprender, ser paciente, siempre hay otro oficio. Así que prepárate, ver y esperar. Usted también tendrá que no tener miedo cuando el tiempo es correcto para tomar el comercio. Eso viene del conocimiento y la práctica con el tiempo. Por favor, utilice la gestión del dinero y las paradas!
¡Mejores resultados para todos!
Hola Razor130, me gustaría una copia del software. El libro está dedicado a Eileen. Mikebglenn en aol com.
Trading Estrategia para el 12 de abril de 2013.Hurdle en 5631, Laxman Rekha 5644.
El día en que un comerciante renuncia a sus opiniones personales y empieza a preguntarse "¿Qué dice el gráfico?" Es el día en que se rompen a un nuevo nivel. Nuestro trabajo como comerciantes no es predecir que es para averiguar lo que el gráfico está diciendo a través de la acción del precio. Los gráficos pueden mostrar actualmente si el capital está fluyendo dentro o fuera del mercado que está negociando. Las pistas se dan en niveles de resistencia, niveles de soporte, promedios móviles, algunas líneas de tendencia y volumen. Un gráfico es un hecho mientras que nuestra opinión es justa eso, y cada uno tiene uno. Los mercados son difíciles de negociar para la mayoría porque son contra intuitivos. Los mercados alcistas terminan cuando el sentimiento es el más alcista y el mercado se queda sin compradores a precios más altos, bajan los mercados cuando todos ya se han vendido y nadie quiere vender a un precio bajo. Las existencias de Monster implosionan cuando son propiedad de las instituciones y sus fundamentos están cerca de un pico. Las tendencias continúan en la misma dirección hasta que una fuerza actúa sobre ella para detenerla o invertirla. Mi mayor dinero siempre se hace cuando me cerró mis opiniones y seguir el gráfico. Mis pérdidas son cuando lucho contra una tendencia y empiezo a creer "simplemente no puede ir más bajo" o "simplemente no puede ir más alto" confía en mí, sí puede! Comercio de la carta, no sus opiniones, que es lo que la gran mayoría de los mejores comerciantes ricos hacer.
Minor Hurdle al nivel de 5622 y para los comerciantes.
Crossover y cierre por encima de este nivel con volúmenes tomará el nivel 5699 y 5717.
-GAP @ 5666 tiene que ser llenado, Will caerá y caerá o se reunirá para besar el nivel 5700.
Los niveles de asistencia de hoy: 5584 & # 8212; & # 8212; -5575. La subida por debajo de 5575 llevará a 5550 & # 8212; 5542.
Indicadores diarios de gráficos que favorecen a los toros por el tiempo, pero semanal & amp; Gráfico mensual y 101% bajista.
Máximo upmove hasta 5700 - Neckline Retest puede happen. But todo el cuadro que parece muy muy asustadizo.
Actualizará más a nuestros suscriptores, actualizado a las 7: 47/12 de abril / Baroda / India
El euro saltó hacia arriba
Ayer, el principal par de divisas inesperadamente fortalecido y aún mantiene un impulso creciente.
La euro moneda fue muy "feliz" Con la debilidad del dólar ayer, en la que, de hecho, creció con éxito. Sólo un poco, pero agradable - malas estadísticas sobre las ventas al por menor estadounidenses fue muy útil.
El gasto del consumidor en los Estados Unidos en septiembre declinó seriamente, abajo por 0.3% cuando se ajustó para la estacionalidad. Las ventas al por menor estimadas el mes pasado a un total de $ 442.7 mil millones y eso no es tanto para los Estados Unidos. En los componentes del informe es evidente que el segmento de ventas de piezas de repuesto se hundió por un lote (-0,8%), así como las ventas de automóviles propios. Excluyendo estos parámetros, las ventas al por menor en septiembre en los Estados Unidos cayeron un 0,2%, y eso es aún peor que la previsión asumida de -0,1%.
Curiosamente, año tras año las ventas al por menor en los Estados Unidos en septiembre aumentó un 4,3%, y que sigue siendo superior a la tasa de inflación. Este hecho, debería haber mantenido el ardor de los compradores en el euro / dólar, pero ¿quién presta atención a los detalles?
Resulta que el euro / dólar estaba creciendo en algo así como una "contradicción", y esta mañana el impulso se mantuvo en vigor. Hoy en día saldrán muchas estadísticas para la zona del euro, así como para Estados Unidos, que mantendrán la volatilidad en el par principal en niveles por encima de la media.
Hasta ahora, el "techo" De la corrección en el euro / dólar parece ser la marca 1,2845.
Departamento Analítico de RoboForex
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Estrategia Semanal de Revisión Wk01
En primer lugar, un feliz año nuevo para todos y un buen año comercial en 2015. En este artículo voy a proporcionar mi opinión sobre el EUR / NZD. Esta es la pareja que actualmente estoy interesado en para el comercio con la estrategia de la red híbrida y voy a analizar en este artículo. También estoy interesado en el EUR / USD y este par fue analizado en el artículo Review Hybrid Grid Strategy Wk 51 y 52 - Todas las operaciones se basan en reglas específicas de acuerdo con la estrategia FxTaTrader Hybrid Grid. - Para el rendimiento y las posiciones cerradas haga clic aquí. Este artículo proporcionará:
El gráfico de divisas semanal para el par analizado.
La tabla TA semanal (decisión) para el par analizado.
A Análisis técnico para el par analizado del gráfico diario, semanal y mensual.
Posibles posiciones para la próxima semana y posiciones tomadas.
De acuerdo con las tablas TA, la "puntuación de divisas" y la "lista de clasificación y clasificación", todos los pares en el Top 10 de la "clasificación y clasificación" son buenos para el comercio, excepto para NZD / CAD. These are 2 average performing currencies with a currency score difference of only 3. See the Currency score article of this weekend Forex Weekly Currency Score Wk 01 for more information. There are some rules for taking positions according to the FxTaTrader Hybrid Grid Strategy. The strategy can open multiple positions of a currency pair but each currency may only be present once in the same direction in the pairs chosen for trading. It means that not all the possible positions of this coming week can be opened. For more information see FxTaTrader Hybrid Grid Strategy .
Possible positions for coming week
This pair will be analyzed in detail. The situation compared to the last weeks has improved and the pair is interesting for the Hybrid Grid strategy. The pair broke through the lows of the previous weeks and is clearly in a downtrend in the Daily, Weekly and Monthly charts. It also has space to go down compared to the EUR/USD. There is a bottom on 10 July 2014 at 1,5409 where the price can go towards and which can clearly be seen in the TA Weekly chart included in this article. There are more bottoms in the monthly chart around 1,500 where the price can go towards. The EUR/USD on the other hand just went through an important previous bottom but this happened briefly and on low liquidity so more confirmation is needed that price will continue to go down. The EUR/NZD is also showing a nice pull back at the moment and the first position can be placed around the previous bottom 1.5644 which has become a resistance level in the chart and the second and possibly third position can be placed between that level and more near the current price.
As can be seen in the Currency Score chart in my previous article of this weekend Forex Weekly Currency Score Wk 01. the EUR is having a score of 1 and the NZD a score of 7. With a Currency score difference of 6 and the NZD having a classification of an average performing currency while the EUR is a weaker currency it is an interesting pair in the coming week for going short.
The position in the Ranking and Rating list in the last weeks also shows that the pair is attractive for taking short positions. In the current list of this weekend Forex Ranking & Rating Wk 01 the pair has a rank of 2. This list is used as additional information besides the Currency score and the Technical analysis charts.
Besides the general information mentioned the outlook in the TA charts also makes it an attractive opportunity.
Ranking and rating list Week 01 Rank: 2 Rating: - - -
Weekly Currency score: Down Based on the currency score the pair looked interesting in the last 3 months. The NZD is an average performing currency from a longer term view and currently having a currency score of 7. The EUR is a weaker currency from a longer term view and currently having a score of 1. Based solely on this information the pair does look interesting for going short in the coming week.
Monthly chart: Down
On the monthly(context) chart the indicators are looking strong for going short.
The Ichimoku is meeting all the conditions.
The MACD is in negative area and regaining strength.
The Parabolic SAR is short and showing the preferred pattern of lower stop loss on opening of new long and short positions.
Since the monthly chart is used to get the context how that pair is developing for the long term the indicators are looking fine because they are showing strength in the current downtrend.
Weekly chart: Down
On the weekly(decision) chart the indicators are looking strong for going short.
The Ichimoku is meeting all the conditions. The MA's crossed just last week and it happened below the cloud.
The MACD is in negative area gaining strength.
The Parabolic SAR is short and showing the preferred pattern of lower stop loss on opening of new long and short positions. In the week of 5 September 2014 the PSAR gave a false signal during 1 week and it reversed again so this is not relevant.
Daily chart: Down
On the daily(timing) chart the indicators are looking strong for going short.
The Ichimoku is meeting all the conditions.
The MACD is in negative area and looking strong.
The Parabolic SAR is short and showing the preferred pattern of lower stop loss on opening of new long and short positions.
Total outlook: Down
EUR/NZD Weekly chart
Although the explanation may seem simple and clear there is always risk involved. I added a disclaimer to my blog for this purpose. If you would like to use this article then mention the source by providing the URL FxTaTrader. com or the direct link to this article. Good luck in the coming week and don't forget to check my weekly Forex "Ranking and Rating list" and the "Currency Score".
DISCLAIMER: The articles are my personal opinion, not recommendations, FX trading is risky and not suitable for everyone. The content is for educational purposes only and is aimed solely for the use by ‘experienced’ traders in the FOREX market as the contents are intended to be understood by professional users who are fully aware of the inherent risks in forex trading. The content is for 'Forex Trading Journal' purpose only. Nothing should be construed as recommendation to purchase any financial instruments. The choice and risk is always yours. Gracias.
Re: Harmonic Trading
I am working with 2 jobs, and I am telling myself (years ago) this is what I should trade with: Harmonic pattern with Fibonacci.
I guess I found the right place, but after I attached EA on this thread to my MT4, they all not run: (not show on MT4 at all)
korHarmonicsv6.7.13 & ZUP_v120_NEN STAR
Can someone here give me some good advice to make it working on MT4 setup? TY.
Comentario
Re: Harmonic Trading
I am working with 2 jobs, and I am telling myself (years ago) this is what I should trade with: Harmonic pattern with Fibonacci.
I guess I found the right place, but after I attached EA on this thread to my MT4, they all not run: (not show on MT4 at all)
korHarmonicsv6.7.13 & ZUP_v120_NEN STAR
Can someone here give me some good advice to make it working on MT4 setup? TY.
Daretolearn you need to put the indicators into the indicator section of the files of your mt4. Then compile them. And voila. You are set.
Re: Harmonic Trading - PRZ start time range, swan
Please ask Nen, when possible. (Sorry, posting English localization at Onix is difficult)
Swan has possible PRZ start time - no value . rare event. Unsure if price value PRZ also very big. See image + CSV, PRZ start time showing Unix 1970 . Swan shows this, maybe other patterns too?
I am version ZUPp 148 only on Mt4 build 670 SelectPattern = 5, internal patterns only.
Produced as playback every tick, GJ M15, October 2, 2014
Good wishes Colonel,
Comentario
Re: Harmonic Trading
Many thanks for your help bubbadirect. Unesdoc. unesco. org unesdoc. unesco. org
Here you go jjventural[ATTACH]208204[/ATTACH] AND [ATTACH]208205[/ATTACH]
Hope these are what you are looking for!
Comentario
Re: Harmonic Trading
Did you get them to work for you jjventural?
Comentario
Re: Harmonic Trading
Please ask Nen, when possible. (Sorry, posting English localization at Onix is difficult)
Swan has possible PRZ start time - no value . rare event. Unsure if price value PRZ also very big. See image + CSV, PRZ start time showing Unix 1970 . Swan shows this, maybe other patterns too?
I am version ZUPp 148 only on Mt4 build 670 SelectPattern = 5, internal patterns only.
Produced as playback every tick, GJ M15, October 2, 2014
Good wishes Colonel,
AFP I see you were only using version 148. Have you tried version 146? Or 145? Just curious if this helps the buggy part? Also on the onix forum there have been some lines of code that are suggested to be added or replaced in the programming, which may help?
Trying to help Bubba
FTSEuro300-ConsSer (3EC5000)
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Todos los precios son proporcionados por los creadores de mercado y no por los intercambios. Como tales precios pueden no ser exactos y pueden diferir del precio de mercado real. FX Empire no asume ninguna responsabilidad por las pérdidas comerciales que pueda incurrir como resultado del uso de cualquier dato dentro del FX Empire.
FX Empire © 2016
Consultar su correo electrónico
Se ha enviado un enlace de activación a tu correo electrónico. Usted comenzará a recibir correos electrónicos sólo después de activar su cuenta.
Forex technical analysis: GBPUSD makes a break for it
Joins the dollar selling party
The GBPUSD has just broken above the topside trend line at 1.5603. The pair has been more up and down in trading today. Employment showed that average weekly earnings were less than expectations. The quick fall was quickly retraced, however.
Now with the break higher, it should solicit more buying with the next targets at 1.5636, 1.5644 and the highs for the month at 1.5677 and July at 1.5689 (see chart below).
The pair has been confined in a narrow trading range over the last month. The range has a high of 1.5689 and a low of 1.5424. The 265 pips for a month's time (since July 13) when compared to calendar months, is the lowest going back to 2002 (in other words, there have been zero calendar months < 265 pips). The range for August is 254 pips so far. Qué significa eso? Non trending transitions to trending. So be on the lookout. Traders will be looking for the momentum from the break above the trend line to continue if the buyers are to keep control and get a trend going with an extreme taken out at some point. The break above the trend line will be eyed as a clue of "the markets" intent if the break level can hold.
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mrtools can add MTF and HISTO In this indicator? I think it is more effective in H1
Made it mtf and now has alerts on zero cross and slope change, the other one had problems, think this one is much better. Named it Kama for 2 reasons, first it actually is a Kaufman adaptive moving average, and second reason is to help to hopefully eliminate confusion between the 2 versions.
edit was just noticing on the alerts the letters were crammed together, so fixed that with better spacing now!
Last edited by mrtools ; 03-07-2013, 06:46.
GBP / USD y # 8211; Dollar Shines Against Pound in 2014
The British pound was almost unchanged on Wednesday, as GBP/USD closed the day at 1.5550. Canadian and US markets are closed on Thursday for the New Year’s holiday. Both markets will resume action on Friday, highlighted by the release of British and US Manufacturing PMIs.
US releases wrapped up 2014 with mixed results. Unemployment Claims surprised with a sharp rise, coming in at 298 thousand, compared with 280 thousand in the previous reading. The estimate stood at 287 thousand. On the housing front, Pending Home Sales bounced back from a decline in the previous reading, posting a gain of 0.8% in December. This beat the forecast of 0.6%. The news was not as good from Chicago PMI, which dropped to 58.3 points, its worst showing since June. The reading fell short of the estimate of 60.2 points.
With the US economy showing better numbers as we head into 2015, the US consumer is showing more optimism about the economy. On Tuesday, CB Consumer Confidence rose to 92.6 points, up from 88.8 points a month earlier. Although this missed the estimate of 94.6, this was a solid reading which follows last week’s UoM Consumer Sentiment report. That indicator has been on an upward swing and hit 93.6 points in December, its highest level since February 2007. Consumer confidence numbers are closely watched by analysts, as increased confidence should translate into more spending by consumers, creating more jobs and strengthening economic activity.
The US dollar had its way with its rivals in 2014, and the British pound was no exception. The British currency started the year in excellent shape, trading at 1.64. However, the pound slipped badly in 2014, dropping to 1.5550 by the end of the year. The US economy continues to outperform that of the UK, and monetary divergence could play a major role in the fortunes of the pound. The Federal Reserve is expected to raise interest rates in 2015, and if the BOE does not follow suit, the pound is likely to lose ground versus the dollar.
GBP/USD for Thursday, January 1, 2015
GBP/USD was almost unchanged on Wednesday. The pair touched a high of 1.5621 in the European session, putting pressure on resistance at 1.5644.
1.5644 is the next resistance line.
1.5505 is an immediate support line.
Current range: 1.5505 to 1.5644
Further levels in both directions:
Below: 1.5505, 1.5392, 1.5282 and 1.5165
Above: 1.5644, 1.5717, 1.5864, 1.6000 and 1.6141
OANDA’s Open Positions Ratio
GBP/USD ratio has a majority of long positions, indicative of trader bias towards the pound continuing to move to higher ground.
There are no UK or US releases on Thursday.
Este articulo es solamente con fines de información general. No es un consejo de inversión o una solución para comprar o vender valores. Opinions are the authors; not necessarily that of OANDA Corporation or any of its affiliates, subsidiaries, officers or directors. El comercio apalancado es de alto riesgo y no es adecuado para todos. Usted podría perder todos sus fondos depositados.
Kenny Fisher joined OANDA in 2012 as a Currency Analyst. Kenny writes a daily column about current economic and political developments affecting the major currency pairs, with a focus on fundamental analysis. Kenny began his career in forex at Bendix Foreign Exchange in Toronto, where he worked as a Corporate Account Manager for over seven years.
GBPUSD pops through 1.5600 after stronger UK production data
Premier sitio de noticias de comercio de divisas
Fundada en 2008, ForexLive. com es el primer sitio de noticias de comercio de divisas que ofrece comentarios, opiniones y análisis interesantes para los verdaderos profesionales de comercio de divisas. Obtenga las últimas noticias de cambio de divisas y las actualizaciones actuales de los comerciantes activos diariamente. Las publicaciones del blog de ForexLive. com cuentan con análisis técnicos de vanguardia, consejos gráficos, análisis de divisas y tutoriales de negociación de pares de divisas. Descubra cómo aprovechar las oscilaciones en los mercados de divisas globales y ver nuestro análisis de noticias de divisas en tiempo real y las reacciones a las noticias del banco central, los indicadores económicos y los eventos mundiales.
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ALTO RIESGO ADVERTENCIA: El comercio de divisas conlleva un alto nivel de riesgo que puede no ser adecuado para todos los inversores. El apalancamiento crea un riesgo adicional y una exposición de pérdidas. Antes de decidir intercambiar divisas, considere cuidadosamente sus objetivos de inversión, nivel de experiencia y tolerancia al riesgo. Usted podría perder parte o la totalidad de su inversión inicial; No invierta dinero que no puede permitirse perder. Infórmese sobre los riesgos asociados con el comercio de divisas y busque asesoramiento de un asesor financiero o fiscal independiente si tiene alguna pregunta.
AVISO ADVISORY: FOREXLIVE ™ proporciona referencias y enlaces a blogs seleccionados y otras fuentes de información económica y de mercado como un servicio educativo para sus clientes y prospectos y no respalda las opiniones o recomendaciones de los blogs u otras fuentes de información. Se aconseja a los clientes y prospectos considerar cuidadosamente las opiniones y análisis que se ofrecen en los blogs u otras fuentes de información en el contexto del análisis individual y la toma de decisiones del cliente o prospectos. Ninguno de los blogs u otras fuentes de información debe considerarse como un historial. El rendimiento pasado no es garantía de resultados futuros y FOREXLIVE ™ aconseja específicamente a los clientes y prospectos revisar cuidadosamente todas las reclamaciones y representaciones hechas por asesores, bloggers, gerentes de dinero y vendedores de sistemas antes de invertir fondos o abrir una cuenta con cualquier distribuidor de Forex. Cualquier noticia, opinión, investigación, datos u otra información contenida en este sitio web se proporciona como comentario general del mercado y no constituye asesoramiento de inversión o comercialización. FOREXLIVE ™ renuncia expresamente a cualquier responsabilidad por cualquier pérdida de capital o beneficios sin limitación que pueda derivarse directa o indirectamente del uso de o de la confianza en dicha información. Al igual que con todos estos servicios de asesoramiento, los resultados anteriores nunca son una garantía de resultados futuros.
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GBP transaction upper
For the 24 hours to 23:00 GMT, the GBP rose 0.51% against the USD and closed at 1.5577.
In economic front, UK’s retail sales rose 0.2% MoM, in line with consensus. Retail sales had registered a revised unchanged reading in the prior month.
In the Asian session, at GMT0300, the pair is trading at 1.5579, with the GBP trading marginally higher from yesterday’s close.
The pair is expected to find support at 1.5500, and a fall through could take it to the next support level of 1.5421. The pair is expected to find its first resistance at 1.5644, and a rise through could take it to the next resistance level of 1.5708.
Amid no major economic event in the UK today, trading trends in the Pound would be driven by global macroeconomics news.
The currency pair is trading above 20 Hr and 50 Hr moving averages.
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CHARTING FOREX: Dollar In Lower Range Vs Most FX Majors This Week
The following is a technical analysis of seven major currency pairs for this week:
USD/JPY is likely to consolidate in a slightly lower range this week. The daily chart is mixed as the MACD indicator is bullish, but the stochastic measure is neutral, while the five - and 15-day moving averages are meandering sideways. Support is at 76.49, the Sept. 30 low; a breach would target 76.21, the Sept. 26 low, and then the 76.10-75.94 band, defined by the Sept. 22 low and the record low set on Aug. 19. A drop below 75.94 would expose the downside to the psychological 75.00 and 74.00 levels. Resistance is at the 77.27-77.33 band, defined by the Oct. 3 high and the Sept. 15 high; a breach would tilt the near-term outlook toward positive, targeting 77.86, the Sept. 9 high. An extension of the rise would target the 100-day moving average, coming in now at 78.45, and then 80.25, the Aug. 4 spike high. USD/JPY is consolidating its negative medium-term trend. A drop below the 75.94 support would suggest a resumption of the medium-term downtrend, opening the way down to 73.36, the projected base of the descending channel formed with the April 2009 high of 101.45 and the Nov. 2009 low of 84.81 on the weekly chart; and then to the psychological 70.00 level. But a rise above the May 19 high of 82.23 would nullify the negative medium-term bias, exposing the upside to 85.53, the April 6 swing high.
EUR/USD is likely to consolidate in a higher range this week after the currency pair set a six-month low of 1.3145 on Tuesday but posted a higher global weekly close on Friday. Resistance is at Friday's high of 1.3525; a breach would target the Sept. 28 high of 1.3690, and then the Sept. 21 high of 1.3799. An extension of the rise would target the Sept. 15 high of 1.3937. Support is at Thursday's low of 1.3241, and then at 1.3145; a breach would reinstate the near-term negative outlook, exposing the downside to the psychological 1.3000 line, and then to 1.2871, the Jan. 10 reaction low. EUR/USD medium-term outlook is negative as the five - and 15-week moving averages are falling. The currency pair may target the 1.2871 support; a breach would open the way down to the Aug. 24, 2010 low of 1.2584 in the weeks ahead.
AUD/USD is likely to consolidate in a higher range this week after the currency pair set a one-year low of 0.9386 on Tuesday but posted a higher global weekly close on Friday. Resistance is at Friday's high of 0.9878; a breach would target 0.9985, the Sept. 27 reaction high. An extension of the rise would target the Sept. 20 high of 1.0312, and then the Sept. 16 reaction high of 1.0398, which is currently near the 200-day moving average. Support is at Thursday's low of 0.9617, and then at 0.9386; a breach would reinstate the near-term negative outlook, targeting 0.9359, the Sept. 20, 2010 low, and then the projected base of descending channel formed with the Aug. 1 high 1.1065 and the Aug. 9 low of 0.9924, coming in now at 0.9344. AUD/USD medium-term outlook is negative as the five - and 15-week moving averages are falling. The currency pair may target the psychological 0.9000 line, and then the Aug. 25, 2010 reaction low of 0.8769 in the weeks ahead.
NZD/USD is likely to consolidate in a higher range this week after the currency pair set a six-month low of 0.7466 on Tuesday but posted a higher global weekly close on Friday. Resistance is at Friday's high of 0.7796; a breach would target the Sept. 29 high of 0.7831, and then the Sept. 27 reaction high of 0.7957, which currently matches the 200-day moving average. An extension of the rise would target the 100-day moving average, coming in now at 0.8228. Support is at Thursday's low of 0.7620, and then at 0.7466; a breach would reinstate the near-term negative outlook, exposing the downside to 0.7113, the March 17 reaction low, and then to the psychological 0.7000 line. NZD/USD medium-term outlook is negative as the five - and 15-week moving averages are falling. The currency pair may target the 0.7113 support; a breach would open the way down to the Aug. 25, 2010 reaction low of 0.6944 in the weeks ahead.
GBP/USD is likely to consolidate in a higher range this week after the currency pair rebounded strongly from a 14-month low of 1.5270 set on Thursday. Resistance is at Friday's high of 1.5644; a breach would target the Sept. 29 reaction high of 1.5715, and then the Sept. 20 high of 1.5747, followed by the previous base of 1.5780 set on July 12. An extension of the rise would target the Sept. 15 high of 1.5868, and then the Sept. 8 high of 1.6083. Support is at Friday's low of 1.5421, and then at 1.5270; a breach would reinstate the near-term negative outlook, targeting 1.5123, the July 21, 2010 reaction low. GBP/USD medium-term trend is negative as the five - and 15-week moving averages are falling. The currency pair may target the psychological 1.5000 line and the July 12, 2010 reaction low of 1.4946; a breach would open the way down to the June 8, 2010 low of 1.4344 and the May 20, 2010 swing low of 1.4230 in the weeks ahead.
USD/CHF is likely to trade in a higher range this week after setting a six-month high of 0.9317 on Thursday. The daily chart is positive-biased as the five - and 15-day moving averages are rising, while the stochastic measure stays elevated at the overbought level. Resistance is at 0.9317, and then at 0.9340, the April 1 high; a breach would target 0.9370, the March 9 high, and then 0.9506, the Feb. 22 high. Support is at Friday's low of 0.9143; a breach would expose the downside to the Sept. 29 low of 0.8918. An extension of the fall would target the 200-day moving average, coming in now at 0.8786, and then 0.8646, the Sept. 15 reaction low. USD/CHF medium-term outlook is positive as the five - and 15-week moving averages are rising. A breach of the 0.9340 resistance would open the way up to the Feb. 11 reaction high of 0.9776 in the weeks ahead.
USD/CAD is likely to consolidate in a lower range this week after the currency pair set a 13-month high of 1.0656 on Tuesday but posted a lower global weekly close on Friday. Support is at Friday's low of 1.0231; a breach would target 1.0139, the Sept. 27 reaction low. An extension of the fall would target the Sept. 22 low of 1.0050, and then 1.0026, the previous cap set on Sept. 12. Resistance is at Thursday's high of 1.0482, and then at 1.0656; a breach would reinstate the near-term positive bias, targeting 1.0672, the Aug. 31, 2010 reaction high, and then 1.0851, the May 25, 2010 reaction high. USD/CAD medium-term outlook is positive as the five - and 15-week moving averages are rising. A breach of the 1.0851-1.0869 resistance band, defined by the May 25, 2010 high and the Nov. 2, 2009 high, would open the way up to the Sept. 28, 2009 high of 1.0992 and the Aug. 17, 2009 high of 1.1124 in the weeks ahead.
Copyright y copia; 2016 eFXnews
GBP / USD y # 8211; Pound Slide Continues
The British pound has started off the week with slight losses, continuing to point downwards after Friday’s big losses. In Monday’s North American session, GBP/USD is trading in the mid-1.52 range. The pound is now trading at its lowest levels against the dollar since August 2013. On the release front, British Construction PMI softened in December, dropping to 57.6 points. In the US, there is one minor release on the schedule, Total Vehicle Sales. As well, FOMC Member John Williams will speak at an event in Boston.
British PMIs continue to point to weakness in the UK economy. On Monday, it was the turn of Construction PMI, which slipped to 57.6 points. This was well short of the estimate of 59.2 and marked the index’s worst performance since July 2013. On Wednesday, we’ll get a look at Services PMI, which is expected to post a strong reading for December.
On Friday, British Manufacturing PMI dipped to 52.5 points, a 3-month low. The index was short of the estimate of 53.7 points. The pound reacted sharply, losing some 260 points on the day. In the US, manufacturing numbers were also weak. The ISM Manufacturing PMI disappointed, falling to 55.5 points. This missed the forecast of 57.6 points and marked a 6-month low for the index.
GBP/USD for Monday, January 5, 2015
GBP/USD January 5 at 16:35 GMT
GBP/USD 1.5243 H: 1.5320 L: 1.5203
GBP/USD was uneventful in the Asian session. The pair has posted losses in European trade, breaking below support at 1.5282. GBP/USD is unchanged in the North American session.
1.5165 is providing strong support.
1.5282 is a weak resistance line. 1.5392 is stronger.
Current range: 1.5165 to 1.5282
Further levels in both directions:
Below: 1.5165, 1.5008, 14873 and 1.4781
Above: 1.5282, 1.5392, 1.5505, 1.5644 and 1,5717
OANDA’s Open Positions Ratio
GBP/USD ratio is pointing to gains in short positions on Monday. This is consistent with the pair’s movement, as the pound has posted losses. The ratio has a majority of long positions, indicative of trader bias towards the pound reversing its current slide and moving upwards.
9:30 British Construction PMI. Estimate 59.2 points. Actual 57.6 points.
13:00 US FOMC Member John Williams Speaks.
All Day – US Total Vehicle Sales. Estimate 16.9M.
*Key releases are highlighted in bold
*All release times are GMT
Este articulo es solamente con fines de información general. No es un consejo de inversión o una solución para comprar o vender valores. Opinions are the authors; not necessarily that of OANDA Corporation or any of its affiliates, subsidiaries, officers or directors. El comercio apalancado es de alto riesgo y no es adecuado para todos. Usted podría perder todos sus fondos depositados.
Kenny Fisher joined OANDA in 2012 as a Currency Analyst. Kenny writes a daily column about current economic and political developments affecting the major currency pairs, with a focus on fundamental analysis. Kenny began his career in forex at Bendix Foreign Exchange in Toronto, where he worked as a Corporate Account Manager for over seven years.
Dollar rally pauses before Fed decision
NEW YORK The dollar's rally stalled on Monday as investors bought euros to square up positions ahead of a key policy meeting by the U. S. central bank later this week.
"The market is holding its breath ahead of the Fed tomorrow, so we are not surprised to see the dollar a little lower here after a strong performance last week," said Matthew Strauss, senior currency strategist, at RBC Capital Markets in Toronto.
"For the first time in a number of FOMC (Federal Reserve Open Market Committee) meetings, there is significant uncertainty about the decision and the statement," he added.
U. S. short-term interest rates futures are showing the market perceives an 82 percent chance that the Federal Reserve will cut interest rates by a quarter percentage point to 2 percent on Wednesday.
Meanwhile, with global inflation rising, some analysts are speculating that the Fed could indicate it is approaching the end of its cycle of drastic interest rate cuts.
In midday New York trading, the dollar slipped 0.2 percent against a basket of currencies to 72.584.DXY.
The euro edged up 0.1 percent against the dollar at $1.5644, snapping a three-day decline. But it was still more than 3 cents below last week's record high. Comments from European Central Bank officials repeating their warnings about persistent inflation have lent mild euro support for most of the session.
ECB President Jean-Claude Trichet and Governing Council member Yves Mersch both said risks to price stability remained on the upside, with Trichet adding that there were no grounds for complacency.
Their comments suggested the ECB is not ready to start cutting interest rates from 4 percent soon, even with regional data pointing to an inflation slowdown in four German states for April.
A surprise jump in a gauge of German consumer sentiment also helped the euro, as it indicated that the euro zone's biggest economy may be in better shape than indicated by last week's weak Ifo business confidence survey.
"We had a relatively strong reading in German consumer confidence and that helped ease concerns about a faltering German economy following last week's disappointing Ifo number," said Omer Esiner, a market analyst at Ruesch International in Washington.
"I think there were some hawkish comments by Trichet and also by Mersch and that sort of underpinned the euro a little bit," he added.
Meanwhile, rising commodity prices -- with oil hitting a new record high -- kept the dollar on the back foot.
Against the yen, the dollar hit a two-month high of 104.82 yen, but came down to 104.33, slightly down on the day.
Sentiment on the dollar improved last week amid stronger-than-expected U. S. corporate earnings and a growing view that the worst of the credit crisis has passed.
But some analysts are not convinced that the dollar's rally may be sustained given the continued fragility of the financial system and the still considerable stress in credit markets.
"Barring a more hawkish bias in the FOMC statement, which seems less likely to us, additional dollar gains in the near-term, particularly ahead of the Fed announcement, may prove difficult," said HSBC Bank USA in a research note.
The Fed has slashed borrowing costs by 3 percentage points since September in response to the credit crisis that erupted last year, but some speculated that climbing fuel and food prices could put the brakes on any more big cuts.
(Editing by Chizu Nomiyama)
Bob Hunt - IF - Wed Aug 19, 6:40PM CDT
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Forex techincal analysis: GBPUSD continues the volatile action
Trades near a ceiling area
The GBPUSD had a near-epic day yesterday as it bounced around in a 75 pips trading range up and down and up and down. The floor at the 1.5560-645 area gave way in the Asia-Pacific session on to find support at the July 28 low of 1.5521. That was enough technical perspective, to get buyers back involved. The price extended back above the 1.5560/64 area than what was resistance became support again.
In the London morning session, weaker service PMI provided a hiccup the rally, but the buyers stepped in against the 1.5560/64 level and it has been up, up and away since then. Currently there is testing another swing area where there have been a number of swing highs over the last few weeks. That level comes between the 1.5636 – 44 area(see top yellow area in the chart above). Since July 23 have been 3 attempts to extend higher – each failing. Meanwhile going back to July 22, there have been 6 or so swing highs that have stalled the rally. Sellers should enter here (or at least some profit taking), with stops above the 1.5644. Risk can be defined and limited. Of course the volatility of late is the wildcard for this pair. So keep risk to minimum.
On the downside, the targets come in at the 1.5597-12 area. The 1.5603-12 is the 38.2-50% of the last trend-like move higher. The 1.5597 is where the 100 hour moving average is currently found. If the price moves below these levels, with the volatility we've seen lately, you can expect anything.
PS The pair will also have a big day tomorrow with all the BOE action (see Mike's preview HERE ). That also favors caution and potential illiquid summer time trading. So be careful.
Premier sitio de noticias de comercio de divisas
Fundada en 2008, ForexLive. com es el primer sitio de noticias de comercio de divisas que ofrece comentarios, opiniones y análisis interesantes para los verdaderos profesionales de comercio de divisas. Obtenga las últimas noticias de cambio de divisas y las actualizaciones actuales de los comerciantes activos diariamente. Las publicaciones del blog de ForexLive. com cuentan con análisis técnicos de vanguardia, consejos gráficos, análisis de divisas y tutoriales de negociación de pares de divisas. Descubra cómo aprovechar las oscilaciones en los mercados de divisas globales y ver nuestro análisis de noticias de divisas en tiempo real y las reacciones a las noticias del banco central, los indicadores económicos y los eventos mundiales.
2016 - Live Analytics Inc v.0.8.116 (t)
ALTO RIESGO ADVERTENCIA: El comercio de divisas conlleva un alto nivel de riesgo que puede no ser adecuado para todos los inversores. El apalancamiento crea un riesgo adicional y una exposición de pérdidas. Antes de decidir intercambiar divisas, considere cuidadosamente sus objetivos de inversión, nivel de experiencia y tolerancia al riesgo. Usted podría perder parte o la totalidad de su inversión inicial; No invierta dinero que no puede permitirse perder. Infórmese sobre los riesgos asociados con el comercio de divisas y busque asesoramiento de un asesor financiero o fiscal independiente si tiene alguna pregunta.
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EUR/AUD Daily Outlook
EUR/AUD's rally accelerated to as high as 1.5949 so far today. 1.5831 resistance is met and medium term rise from 1.1602 is resuming. Intraday bias remains on the upside for 61.8% projection of 1.1602 to 1.5831 from 1.3671 at 1.6285 next. On the downside, below 1.5644 minor support will turn bias neutral and bring consolidations first before staging another rally.
In the bigger picture, break of 1.5831 resistance confirms resumption of medium term rise from 1.1602. Further rally should be seen to key long term resistance zone 1.6285/6365, 50% retracement of 2.1127 to 1.1602 at 1.6365 and 61.8% projection of 1.1602 to 1.5831 from 1.3671 at 1.6285. The reaction to this level will decide the strength for further rally in medium term long term. In any case, we'll stay bullish as long as 1.4990 support holds.
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Forex technical analysis: GBPUSD working it's way back higher
Holds trend line below
Technically, the GBPUSD moved steadily lower in the London morning session. However, it held trendline support in early NY trading and that has helped push the pair back higher in NY trading. A weaker than expected ISM Manufacturing index (released early), has also helped to weaken the USD.
The pair has now moved above the 200 hour MA at the 1.5518, the 50% of the days range and just now the 100 hour MA at the 1.56077. The close from Friday at the 1.5615 and the 200 bar MA on the 5 minute chart also at 1.56154 are the newest levels to be breached (happening as I type). The targets higher are being checked off one by one.
The next targets come in at the 1.5628 and the high for the day at 1.5644. The 1.5628 is the midpoint of the move down from the June 18 high.
So the shorts from earlier have given up on their run. The action does seem a bit random though and controlled by the short term flows in summer Monday trade. With the Fed doing it's best to find a way to tighten in September, but with weakish data of late there is the potential for rallies to be sold and dips to be bought. It is a question of where are the best levels to lean against. Look for any failures perhaps? A move back below the 1.56077. If we don't get it (with momentum, be patient for higher levels. We could even head all the way up toward the 1.5667-82 which has been a floor/ceiling for the GBPUSD going back to mid June (see chart below).
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ALTO RIESGO ADVERTENCIA: El comercio de divisas conlleva un alto nivel de riesgo que puede no ser adecuado para todos los inversores. El apalancamiento crea un riesgo adicional y una exposición de pérdidas. Antes de decidir intercambiar divisas, considere cuidadosamente sus objetivos de inversión, nivel de experiencia y tolerancia al riesgo. Usted podría perder parte o la totalidad de su inversión inicial; No invierta dinero que no puede permitirse perder. Infórmese sobre los riesgos asociados con el comercio de divisas y busque asesoramiento de un asesor financiero o fiscal independiente si tiene alguna pregunta.
AVISO ADVISORY: FOREXLIVE ™ proporciona referencias y enlaces a blogs seleccionados y otras fuentes de información económica y de mercado como un servicio educativo para sus clientes y prospectos y no respalda las opiniones o recomendaciones de los blogs u otras fuentes de información. Se aconseja a los clientes y prospectos considerar cuidadosamente las opiniones y análisis que se ofrecen en los blogs u otras fuentes de información en el contexto del análisis individual y la toma de decisiones del cliente o prospectos. Ninguno de los blogs u otras fuentes de información debe considerarse como un historial. El rendimiento pasado no es garantía de resultados futuros y FOREXLIVE ™ aconseja específicamente a los clientes y prospectos revisar cuidadosamente todas las reclamaciones y representaciones hechas por asesores, bloggers, gerentes de dinero y vendedores de sistemas antes de invertir fondos o abrir una cuenta con cualquier distribuidor de Forex. Cualquier noticia, opinión, investigación, datos u otra información contenida en este sitio web se proporciona como comentario general del mercado y no constituye asesoramiento de inversión o comercialización. FOREXLIVE ™ renuncia expresamente a cualquier responsabilidad por cualquier pérdida de capital o beneficios sin limitación que pueda derivarse directa o indirectamente del uso de o de la confianza en dicha información. Al igual que con todos estos servicios de asesoramiento, los resultados anteriores nunca son una garantía de resultados futuros.
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962(GBP) British Pound(GBP) To Euro(EUR)
British Pound(GBP) To Euro(EUR)
This is the page of British Pound (GBP) to Euro (EUR) conversion, below you can find the latest exchange rate between them and is updated every 1 minutes. Muestra el tipo de cambio de la conversión de dos monedas. También muestra el historial gráfico de esta divisa pares, eligiendo el período de tiempo se puede obtener información más detallada. Would you like to invert the currencies pairs? Please visit Euro(EUR) To British Pound(GBP) .
Selling 962 GBP you get 1217.07473 EUR Buying 962 GBP you pay 1217.51851 EUR
Exchange Rates Updated: Mar 25,2016 17:57 UTC
Rupee closes stronger at 56.44 vs dollar
The Indian currency strengthened to close higher at 56.44 against the US dollar on Tuesday on the back of government’s announcement to hike the foreign institutional investment limit by $5 billion in government security.
dollar 3 months
dollar 6 months
The rupee snapped its five day losing streak and strengthened to close higher at 56.44 against the dollar on the back of government’s announcement to hike the foreign institutional investment limit by $5 billion in government security.
The Indian unit also got a shot in the arm after Reserve Bank of India put more restrictions on gold imports. This is seen as an attempt by the central bank to reduce the current account deficit of the country.
“There was less demand for the dollar today and also the circular by RBI on gold imports boosted the sentiment in currency markets toward the day end,” a treasury manager with a public sector bank said.
The Indian unit opened stronger at 56.59 against its previous close of 56.77, on the back of good showing by domestic equity markets in morning trade.
The rupee depreciated b 4.8 per cent in May.
The US dollar index was trading down at 82.70 against a basket of world’s major currencies. The index touched a high of 84.49 earlier in the year. This also helped the Indian unit.
Call rates lower; G-Sec up
The interbank call money rates closed slightly lower at 7.25 per cent from previous close of 7.30 per cent.
The 8.15 per cent government security, which matures in 2022, closed sharply higher at Rs 104.95 from previous close of Rs 104.49. Yields softened to 7.39 per cent from previous close of 7.46 per cent.
(This article was published on June 4, 2013)
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EUR/USD, USD/JPY, GBP/USD Pivot Points, TA – November 2 2015
sobre el autor
John is a market analyst for Orbex Ltd. and is a forex and equities trader having been involved in trading since late 2009. John makes use of a mix of technical and fundamental analysis and inter-market relationships. The analysis present here is a mix of intra-day analysis while considering the long term outlook of the markets as well. For any comments or questions, John can be reached at [email protected]
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611(EUR) Euro(EUR) To Swedish Krona(SEK)
Euro(EUR) To Swedish Krona(SEK)
This is the page of Euro (EUR) to Swedish Krona (SEK) conversion, below you can find the latest exchange rate between them and is updated every 1 minutes. Muestra el tipo de cambio de la conversión de dos monedas. También muestra el historial gráfico de esta divisa pares, eligiendo el período de tiempo se puede obtener información más detallada. Would you like to invert the currencies pairs? Please visit Swedish Krona(SEK) To Euro(EUR) .
Selling 611 EUR you get 5666.38044 SEK Buying 611 EUR you pay 5669.41961 SEK
Exchange Rates Updated: Mar 25,2016 17:57 UTC
EUR/USD (Last Price: 1.1310) SELL, Entry = 1.1303, SL = 1.1343, TP = 1.1263 if wrong then BUY, Entry = 1.1343, SL = 1.1303, TP = 1.1383
GBP/USD (Last Price: 1.5651) SELL, Entry = 1.5644, SL = 1.5684, TP = 1.5604 if wrong then BUY, Entry = 1.5684, SL = 1.5644, TP = 1.5724
USD/JPY (Last Price: 119.90) BUY, Entry = 120.02, SL = 119.62, TP = 120.42 if wrong then SELL, Entry = 119.62, SL = 120.02, TP = 119.22
USD/CHF (Last Price: 0.9263) BUY, Entry = 0.9264, SL = 0.9224, TP = 0.9304 if wrong then SELL, Entry = 0.9224, SL = 0.9264, TP = 0.9184
AUD/USD (Last Price: 0.7987) SELL, Entry = 0.7981, SL = 0.8021, TP = 0.7941 if wrong then BUY, Entry = 0.8021, SL = 0.7981, TP = 0.8061
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Target Trading in the Forex upcoming week of March 4th ,2012
Submitted by admin on Sat, 2012-03-03 10:44
WHAT Forex Target Traders SEE: We are currently sitting @ 1.3205. We have a stong pullback from the double top. Looking to continue to at least the S5 @ 1.3113 and possible the 0.786 Fibo @ 1.3084. We are in an uptrend so like buying on the dips. A break of the 0.786 targets the 1.3000 area. The average daily trading range for the cross currently is 123 pips.
WHAT Forex Target Traders SEE: We are currently @ 81.80 and very near the top @ 82.25 after a strong trending market. We should sell a sell off this week as the market needs to correct. The S4 Target @ 79.91 may be the first bounce point on the pullback. A deeper correction would target the 78.23 ( .618 Fibo) area. The average daily trading range for the cross currently is 90 pips.
WHAT Forex Target Traders SEE: Cable is currently @ 1.5838 after putting in a top above the Day chart top @ 1.5925. We should see a run at the 1.5800 area which could provide a bounce point. A breakdown here targets the S4@ 1.5759 area which looks more promising. A breakdown here and look for the bottom @ 1.5644. The average daily trading range for the cross currently is 113 pips.
$AUDUSD – A great smooth currency for Newbie’s!
WHAT Forex Target Traders SEE: We are currently @ 1.0732 after putting one last high in @ 1.0857. We could see a new trend to the downside or just a sideways move. Either way the target down is the .500 Fibo and S4 @ 1.0642 area. A bounce up target the move back to the top And a breakdown here targets the S5 @ 1.0482. The average daily trading range for the cross currently is 99 pips.
CAUTION IS URGED - TRADE WITH STOPS.
IMPORTANT NOTICE: These comments are for information purposes only. The information contained on this document does not constitute a solicitation to buy or sell by ProAct Traders, LLC. www. proacttraders. com and/or its affiliates, and is not to be available to individuals in a jurisdiction where such availability would be contrary to local regulation or law. Las opiniones, los datos de mercado y las recomendaciones están sujetos a cambios en cualquier momento. El comercio de divisas implica un riesgo sustancial de pérdida y no es adecuado para todos los inversores. We monitor multiple indicators as well as established chart analysis in our Forex trading software.
There is No “Holy Grail” in Forex trading systems. Do not use our research or any other trading system without proper research on the asset.
This is an opinion ONLY - and not a trade call, but a study that may lead you to a trade. I do not know whether this will transpire or not so use your own judgment.
GBP/USD Analysis - July 01, 2015
Current Exchange Rate: 1.5647 at the time of analysis update.
GBP/USD is once again testing the 38.2% retracement level support of the upward move during June 2nd to June 18th. This recent support had come slightly over this level but the recent price-action is currently touching it and we expect a break of the support.
On the upside resistance is expected at or below 1.5675 and if this resistance holds the we would expect further decline towards, first towards 1.5570 to 1.5560 range (50% retracement support) and then possibly to 1.5530.
GBP/USD Daily and Hourly Charts
GBP/USD Hourly Chart
GBP/USD Daily Chart
Further Resources and notes
Note 1: Please also take a look at GBP/USD forecast for mid-term trading approach updated on the weekends.
Note 2: Please subscribe to the analysis newsletter so that we can send email alerts as soon as we update the the same.
You may also share and check any GBP/USD chart alerts in the blog section and GBP/USD market sentiments in Forex forum and Forex blog.
Notes and caution about Forex analysis for GBP/USD
The daily GBP/USD analysis is not just based on technical indicators but also takes into account the overall price action and other aspects which can affect the Forex market in general and GBP/USD price action specifically. Please also note that many times the price mentioned at the time of analysis update maybe different than the entry level suggested. These positions would mean limit orders for buying or short-selling. Hence please do not treat this analysis just as trading signals for GBP/USD.
However, please note that the analysis reflects our views about the currency market based various factors. Forex trading is a speculative market and the price may always have unpredictable moves. We cannot take the responsibility for any losses dues to and positions taken based on our views.
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ADP report came in well below forecast
New releases confirm the investors’ expectation of New Zeeland’s unemployment rate rising to 5.9%, a small increase since Q1’s 5.8%. Although the unemployment was in forecast, the job growth remained at 0.3% in Q2 versus the expected 0.5%. Also, a miss was the expected 69.6% in participation rate (constant from Q1), which turned out 69.3%. Regarding labor costs, the quarterly reading is +0.5% and the yearly is +1.8%, both within expectations. Statistics New Zeeland declared that the annual employment continues to be on an upward slope, even if the quarterly rise is smaller than the working-age population growth.
In the UK, the seasonally adjusted Markit PMI (Purchasing Manager’s Index) for services fell in July to 57.4 from 58.8 in June. The figure remained well over 50.0 marking a 31 st successive month of expansion. This continuous rise is explained by the official report as a “perfect storm”, being backed up by high inflows of new business in the service sector companies at the same time with a slight decrease in the growth of activity, the rate of new jobs creation being the lowest since March last year (but still strong). Prices in the service industry have the strongest growth rate since February, but inflation eased towards a 3-months low, remaining also weak on the long run, according to latest surveys.
Shifting to the other side of the Atlantic Ocean, the weak ADP report over employment placed the readings lower than expected. This favored the GBP to extend its rally against the USD from 1.5525 to around 1.5650. ADP’s report had such an impact mainly because the 215K new private jobs forecasted, resulted in only 185K, meaning a gap of almost 15% between the two figures. Also, the June data was revised down 8k, from 237k to 229k. At the moment of writing GBP/USD is trading at 1.5644 (0.53% up for the day), with a high of 1.5653 and low of 1.5526. The trend is expected to remain bullish.
WTI’s (West Texas Intermediate) oil barrel lingered yesterday around the $45.00 threshold, with readings slightly below and above this value. Reaching below $45.00 hasn’t happened since March, concerns regarding the global supply glut appearing to be the sole motor for this seemingly never-ending bearish tone. EIA’s last week reported decrease of crude oil inventories (by 4.4 million barrels) seems to do nothing for the sentiment, although is not the first time a decrease is announced. Though the crude reporting is down, EIA declared an increase in gasoline inventories, neutralizing this way any turn-over in the trend.
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Image via International Monetary Fund / Flickr On Wednesday, we could see an intensification of the buying tone in the USD, due to the hawkish […]
The US Dollar was in a steady uptrend this week erasing the losses from the previous week. The Greenback fell after last week’s FOMC decision […]
Major Market Updates
The dollar rose to a one-week high against a basket of major currencies on Wednesday, boosted by hawkish comments by U. S. Federal Reserve officials and safe-haven demand following Tuesday’s attacks in Brussels.
Three-month sterling implied volatility soared as investors prepared for turbulence exactly three months before a referendum on Britain’s EU membership. The currency had been been the biggest loser among major currencies on Tuesday, with the events in Brussels seen boosting the “Brexit” Campaña.
“The fact is that the Fed is only going to be tightening twice this year and the risks are still skewed to the downside for the dollar,” él dijo. “The outflows are quite considerable and those have been pretty good at tracking the dollar index over time.”
Philadelphia Fed President Patrick Harker said the central bank should consider another hike as early as next month if the U. S. economy continues to improve, and that he would prefer at least three hikes before year-end.
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EUR/USD Levels for 24th March 2016
USD / JPY & # 8211; US Dollar Vs Japanese Yen ( Yen )
USD/JPY Levels for 24th March 2016
GBP / USD y # 8211; Great Britain Pound Vs US Dollar ( Cable )
GBP/USD Levels for 24th March 2016
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XAU/USD Levels for 24th March 2016
CRUDE OIL Levels for 24th March 2016
Market Update As On Thursday 24th March 2016. http://ow. ly/ZSHor #bestforexbroker, #fxtrading, #mt4broker
Market Update As On Wednesday 23rd March 2016. http://ow. ly/ZPVqV #bestforexbroker, #fxtrading, #mt4broker
Major Market Updates
The Federal Reserve is on track for “gentle, gradual” rate hikes unless economic data comes in a lot stronger than expected or inflation picks up faster than anticipated, a top Fed official said on Tuesday.
The dollar edged down on Wednesday as Asian investors reacted to overnight news of attacks in Brussels, though hawkish comments from another U. S. Federal Reserve official underpinned the U. S. currency.
Euro zone business activity ended the first quarter on a higher note, surveys showed on Tuesday, suggesting extra stimulus from the European Central.
A measure of manufacturing activity in the lower U. S. Atlantic region rose in March to its strongest level in nearly six years, recovering from its weakest level in six months, the Richmond Federal Reserve said on Tuesday.
Japan’s manufacturing activity contracted in March for the first time in almost a year as new export orders shrank sharply, a preliminary business survey showed on Tuesday, in a worrying sign that the global economy is weakening.
DOLLAR INDEX - ( USDX ) – Trend – DOWN
Dollar Index Levels for 23rd March 2016
Japan’s manufacturing activity contracted in March for the first time in almost a year as new export orders shrank sharply, a preliminary business survey showed on Tuesday, in a worrying sign that the global economy is weakening.
The dollar edged up on Monday after multiple Federal Reserve officials in separate appearances sounded a hawkish tone, suggesting U. S. interest rate increases were a “live” possibility at the central bank’s upcoming meeting in April.
U. S. home re sales fell sharply in February in a potentially troubling sign for America’s economy which has otherwise looked resilient to the global economic slowdown.
China’s economy is showing signs of improvement while capital outflows from the country are moderating, top Chinese officials said on Sunday, seeking to shore up fragile investor confidence after recent market volatility.
DOLLAR INDEX - ( USDX ) – Trend – DOWN
Dollar Index Levels for 22nd March 2016
Major Market Updates
The safe-haven yen was broadly firmer on Monday, particularly against its New Zealand and Australian peers, as the mood turned sour with most Asian share markets down.
The dollar rose against most major currencies on Friday, recovering from a five-month low, as traders exited short positions after two straight days of selling in the wake of the Federal Reserve’s cautious view on global market developments.
The Russian central bank left its main lending rate at 11 percent on Friday as expected, but its rhetoric about the need to maintain tight monetary policy was more hawkish than many analysts had expected.
DOLLAR INDEX - ( USDX ) – Trend – DOWN
Dollar Index Levels for 21st March 2016
Major Market Updates
China’s home prices rose at their fastest clip in almost two years in February thanks to red-hot demand in big cities, but risks of overheating in some places combined with weak growth in smaller cities threaten to put more stress on an already slowing economy.
The yen stood within reach of a 17-month high against the dollar early on Friday, with the Federal Reserve’s cautious stance towards hiking interest rates continuing to take a toll on the U. S. currency.
The dollar tumbled against major currencies on Thursday, extending declines triggered by Wednesday’s Federal Reserve statement showing the U. S. central bank would likely take longer to raise rates than some had thought.
Bank of England policy-makers said sterling had been dealt a big hit by uncertainty in the run-up to the referendum on EU membership and that growth could slow, after voting unanimously to keep rates steady.
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NZD/USD – New Zealand Dollar Vs US Dollar ( Kiwi )
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CRUDE OIL Levels for 18th March 2016
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Weekly Review Strategy Wk01
First of all a happy new year for everyone and a good trading year in 2015. In this article I will provide my view on the EUR/NZD. This is the pair that I am currently interested in for trading with the Hybrid Grid strategy and I will analyse in this article. I am also interested in the EUR/USD and this pair was analyzed in the article Review Hybrid Grid Strategy Wk 51&52 - All trades are based on specific rules according to the FxTaTrader Hybrid Grid strategy . - For the performance and closed positions click here . This article will provide:
The weekly currency chart for the analyzed pair.
The weekly(decision) TA chart for the analyzed pair.
A Technical analysis for the analyzed pair of the Daily, Weekly and Monthly chart.
Possible positions for the coming week and positions taken.
According to the TA Charts, the "Currency score" and the "Ranking & Rating list", all the pairs in the Top 10 of the "Ranking & Rating list" are good to trade except for NZD/CAD. These are 2 average performing currencies with a currency score difference of only 3. See the Currency score article of this weekend Forex Weekly Currency Score Wk 01 for more information. There are some rules for taking positions according to the FxTaTrader Hybrid Grid Strategy. The strategy can open multiple positions of a currency pair but each currency may only be present once in the same direction in the pairs chosen for trading. It means that not all the possible positions of this coming week can be opened. For more information see FxTaTrader Hybrid Grid Strategy .
Possible positions for coming week
This pair will be analyzed in detail. The situation compared to the last weeks has improved and the pair is interesting for the Hybrid Grid strategy. The pair broke through the lows of the previous weeks and is clearly in a downtrend in the Daily, Weekly and Monthly charts. It also has space to go down compared to the EUR/USD. There is a bottom on 10 July 2014 at 1,5409 where the price can go towards and which can clearly be seen in the TA Weekly chart included in this article. There are more bottoms in the monthly chart around 1,500 where the price can go towards. The EUR/USD on the other hand just went through an important previous bottom but this happened briefly and on low liquidity so more confirmation is needed that price will continue to go down. The EUR/NZD is also showing a nice pull back at the moment and the first position can be placed around the previous bottom 1.5644 which has become a resistance level in the chart and the second and possibly third position can be placed between that level and more near the current price.
As can be seen in the Currency Score chart in my previous article of this weekend Forex Weekly Currency Score Wk 01. the EUR is having a score of 1 and the NZD a score of 7. With a Currency score difference of 6 and the NZD having a classification of an average performing currency while the EUR is a weaker currency it is an interesting pair in the coming week for going short.
The position in the Ranking and Rating list in the last weeks also shows that the pair is attractive for taking short positions. In the current list of this weekend Forex Ranking & Rating Wk 01 the pair has a rank of 2. This list is used as additional information besides the Currency score and the Technical analysis charts.
Besides the general information mentioned the outlook in the TA charts also makes it an attractive opportunity.
Ranking and rating list Week 01 Rank: 2 Rating: - - -
Weekly Currency score: Down Based on the currency score the pair looked interesting in the last 3 months. The NZD is an average performing currency from a longer term view and currently having a currency score of 7. The EUR is a weaker currency from a longer term view and currently having a score of 1. Based solely on this information the pair does look interesting for going short in the coming week.
Monthly chart: Down
On the monthly(context) chart the indicators are looking strong for going short.
The Ichimoku is meeting all the conditions.
The MACD is in negative area and regaining strength.
The Parabolic SAR is short and showing the preferred pattern of lower stop loss on opening of new long and short positions.
Since the monthly chart is used to get the context how that pair is developing for the long term the indicators are looking fine because they are showing strength in the current downtrend.
Weekly chart: Down
On the weekly(decision) chart the indicators are looking strong for going short.
The Ichimoku is meeting all the conditions. The MA's crossed just last week and it happened below the cloud.
The MACD is in negative area gaining strength.
The Parabolic SAR is short and showing the preferred pattern of lower stop loss on opening of new long and short positions. In the week of 5 September 2014 the PSAR gave a false signal during 1 week and it reversed again so this is not relevant.
Daily chart: Down
On the daily(timing) chart the indicators are looking strong for going short.
The Ichimoku is meeting all the conditions.
The MACD is in negative area and looking strong.
The Parabolic SAR is short and showing the preferred pattern of lower stop loss on opening of new long and short positions.
Total outlook: Down
EUR/NZD Weekly chart
Although the explanation may seem simple and clear there is always risk involved. I added a disclaimer to my blog for this purpose. If you would like to use this article then mention the source by providing the URL FxTaTrader. com or the direct link to this article. Good luck in the coming week and don't forget to check my weekly Forex "Ranking and Rating list" and the "Currency Score".
DISCLAIMER: The articles are my personal opinion, not recommendations, FX trading is risky and not suitable for everyone. The content is for educational purposes only and is aimed solely for the use by ‘experienced’ traders in the FOREX market as the contents are intended to be understood by professional users who are fully aware of the inherent risks in forex trading. The content is for 'Forex Trading Journal' purpose only. Nothing should be construed as recommendation to purchase any financial instruments. The choice and risk is always yours. Gracias.
Pound Target: 1.5645
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GBP/USD Outlook Feb. 20-24
GBP/USD moved upwards this week, punching through the 1.58 level, to close at 1.5820.The upcoming week has six releases, Here is an outlook for the upcoming events, and an updated technical analysis for GBP/USD.
There was some positive economic data out of the UK this week, such as the 0.9% jump in retail sales. However, with unemployment stubbornly high at 8.4% and weak activity in the manufacturing and housing sectors, the UK economy is still in trouble.
Updates: Rightmove HPI showed a surprising jump of 4.1% in prices. This is certainly good news for the troubled housing sector. Together with some optimism from Brussels. GBP/USD rose to 1.5880 before descending. Hope for Greece is slowly eroding. A deal was reached for Greece, but doubts remain. In Britain, two members preferred a larger expansion of QE. This sank the pound to around 1.57. The pair found a bottom at 1.5640 and managed to climb back above 1.57. BBA Mortgage Approvals exceeded expectations and rose above 38K. See how to trade the British GDP with GBP/USD .
Rightmove HPI: Monday, 00:01. This index provides the earliest data on housing inflation in the UK. The index has shown stronger numbers for three straight months, but is still in contraction mode, with a January reading of -0.8%. Will the index climb into positive territory this month?
Public Sector Net Borrowing: Tuesday, 9:30. The UK budget deficit decreased dramatically last month, dropping from 15.2B in December to 10.8B in January. This month’s market forecast is calling for a large surplus of -8.9B, which seems very optimistic, given the weak UK economy.
BBA Mortgage Approvals: Thursday, 9:30. Mortgage Approvals is an important indicator of housing market demand. Last month’s figures were 36.2K, and a very slight increase is predicted for February, indicating a bit of improvement in the weak housing sector.
CBI Industrial Order Expectations: Thursday, 11:00. After an awful reading of -23 in December, the indicator improved to -16 last month. The market forecast for February predicts an improvement, but only to -13. This figures are further confirmation that the manufacturing sector is very weak. If the indicator can continue the upward trend and beat the market forecast, this would be bullish for the pound.
Revised GDP: Friday, 9:30. GDP is released quarterly, and this important indicator is often a market-mover. After a strong 0.5% increase in November, the markets are predicting a 0.2% drop. This would be the first contraction in a year, and any dip into negative territory is sure to get the market’s attention, and could hurt the pound. Traders should keep in mind that the market forecasts for GDP are quite accurate, so the chances of a drop in GDP this month are high.
Preliminary Business Investment: Friday, 9:30. This indicator focuses on capital investment. It tends to be volatile, with the result that the market forecasts are often way off. The forecast for February calls for a contraction of 0.4%, which would be the sixth straight drop by the indicator. Will the indicator surprise the markets and rebound with a reading in positive territory?
* Todas las horas son GMT.
GBP/USD Technical Analysis
Pound/dollar started the week at 1.5777. The pair dropped to a low of 1.5644, close to the resistance line of 1.5629 (discussed last week ). It then changed direction, rising as high as 1.5862. The pair closed the week slightly higher, at 1.5822.
Technical levels from top to bottom
We begin with the strong resistance level of 1.6472, which has not been tested since August 2011. The next line of resistance is at 1.6426. This is followed by resistance at 1.6265. Next, 1.6132 has provided strong resistance since November of last year. Below, there is resistance at 1.6065, followed by strong resistance at the psychologically important figure of 1.60. The line of 1.59 is next to provide resistance to the pair.
With some strong movement by GBP/USD this week, the important line of 1.5755 was tested. It is currently acting as weak support for the pair. The next line of support is close by at 1.5720, and this line could fall on a further downward swing by the pair. Below, 1.5629 held fast this week and is an important support level. Next, 1.5520 is providing strong support. Finally, the round number of 1.54, which served as strong support in November and December 2011, is again providing support to the pair.
I remain bullish on GBP/USD.
Despite the lackluster economic data coming out of the UK, the pound has had a spectacular 2012, and the upward swing against the dollar could well continue. For the time being at least, the pound continues to shine.
FOREX-Dollar rises vs yen, as banks and data support
(Changes byline, updates prices, adds quotes)
By Simon Falush
LONDON, April 2 (Reuters) - The dollar gained against the yen on Wednesday as sentiment on the banking sector improved and after better than expected data the previous session signalled the U. S. economy may be in better shape than many had feared.
Equities rose as investor sentiment on the troubled financial sector got a boost after Lehman Brothers Holdings LEH. N raised $4 billion of capital on Tuesday, quelling some speculation that the investment bank may be in trouble [nN01215030].
Other banks continue to suffer, with UBS and Deutsche Bank together taking a $23 billion hit on their risky assets, but some investors took this as a sign that the worst is over for the banking giants.
"The banks are able to raise capital decreasing the probability of very bad outcomes for the financial sector, which is positive for the dollar against the yen," said Adarsh Sinha, currency strategist at Barclays Capital.
The yen tends to suffer when risk appetite increases as investors move into the carry trade where they borrow the low yielding currency to fund investments in higher return assets.
The dollar also got a boost on Tuesday from better than expected data on U. S. manufacturing activity for March, which eased expectations on the extent of monetary easing from the Federal Reserve.
"Positive economic data from the U. S. has cut expectations that the Fed is set to cut rates by 50 basis points (from 2.25 percent) and the market FEDWATCH is now pricing in a higher probability of 25 basis points," said Sinha at Barclays Capital.
By 1041 GMT the euro was up 0.2 percent at $1.5644 but well off a record high around $1.5905 hit last month EUR=.
The U. S. currency was up 0.3 percent at 102.13 yen JPY=, after climbing to a three-week high around 102.30 yen earlier in the day.
BERNANAKE, ADP EYED
But some said that dollar demand would be short-lived as they expect crucial data on U. S. employment later in the week will show continuing weakness in the job market, suggesting that the economy is still struggling.
U. S. non-farm payrolls on Friday are expected to show a fall in jobs for a third straight month in March.
For clues about the likely outcome of the official data, investors will look to a report on private sector employment from Automatic Data Processing (ADP) due at 1215 GMT.
The ADP report is expected to show that private sector employment shrank by 48,000 jobs in March.
Analysts are also awaiting more signs on the outlook for U. S. interest rates from Federal Reserve Chairman Ben Bernanke who testifies before Congress at 1330 GMT.
"Unless Bernanke's comments leave the impression that the Fed is no longer in full control of the situation, short-covering may provide the dollar with a bit more support," said Dresdner Kleinwort in a note to clients.
(Editing by Gerrard Raven)
Weekly Review Strategy Wk01
First of all a happy new year for everyone and a good trading year in 2015. In this article I will provide my view on the EUR/NZD. This is the pair that I am currently interested in for trading with the Hybrid Grid strategy and I will analyse in this article. I am also interested in the EUR/USD and this pair was analyzed in the article Review Hybrid Grid Strategy Wk 51&52 - All trades are based on specific rules according to the FxTaTrader Hybrid Grid strategy . - For the performance and closed positions click here . This article will provide:
The weekly currency chart for the analyzed pair.
The weekly(decision) TA chart for the analyzed pair.
A Technical analysis for the analyzed pair of the Daily, Weekly and Monthly chart.
Possible positions for the coming week and positions taken.
According to the TA Charts, the "Currency score" and the "Ranking & Rating list", all the pairs in the Top 10 of the "Ranking & Rating list" are good to trade except for NZD/CAD. These are 2 average performing currencies with a currency score difference of only 3. See the Currency score article of this weekend Forex Weekly Currency Score Wk 01 for more information. There are some rules for taking positions according to the FxTaTrader Hybrid Grid Strategy. The strategy can open multiple positions of a currency pair but each currency may only be present once in the same direction in the pairs chosen for trading. It means that not all the possible positions of this coming week can be opened. For more information see FxTaTrader Hybrid Grid Strategy .
Possible positions for coming week
This pair will be analyzed in detail. The situation compared to the last weeks has improved and the pair is interesting for the Hybrid Grid strategy. The pair broke through the lows of the previous weeks and is clearly in a downtrend in the Daily, Weekly and Monthly charts. It also has space to go down compared to the EUR/USD. There is a bottom on 10 July 2014 at 1,5409 where the price can go towards and which can clearly be seen in the TA Weekly chart included in this article. There are more bottoms in the monthly chart around 1,500 where the price can go towards. The EUR/USD on the other hand just went through an important previous bottom but this happened briefly and on low liquidity so more confirmation is needed that price will continue to go down. The EUR/NZD is also showing a nice pull back at the moment and the first position can be placed around the previous bottom 1.5644 which has become a resistance level in the chart and the second and possibly third position can be placed between that level and more near the current price.
As can be seen in the Currency Score chart in my previous article of this weekend Forex Weekly Currency Score Wk 01. the EUR is having a score of 1 and the NZD a score of 7. With a Currency score difference of 6 and the NZD having a classification of an average performing currency while the EUR is a weaker currency it is an interesting pair in the coming week for going short.
The position in the Ranking and Rating list in the last weeks also shows that the pair is attractive for taking short positions. In the current list of this weekend Forex Ranking & Rating Wk 01 the pair has a rank of 2. This list is used as additional information besides the Currency score and the Technical analysis charts.
Besides the general information mentioned the outlook in the TA charts also makes it an attractive opportunity.
Ranking and rating list Week 01 Rank: 2 Rating: - - -
Weekly Currency score: Down Based on the currency score the pair looked interesting in the last 3 months. The NZD is an average performing currency from a longer term view and currently having a currency score of 7. The EUR is a weaker currency from a longer term view and currently having a score of 1. Based solely on this information the pair does look interesting for going short in the coming week.
Monthly chart: Down
On the monthly(context) chart the indicators are looking strong for going short.
The Ichimoku is meeting all the conditions.
The MACD is in negative area and regaining strength.
The Parabolic SAR is short and showing the preferred pattern of lower stop loss on opening of new long and short positions.
Since the monthly chart is used to get the context how that pair is developing for the long term the indicators are looking fine because they are showing strength in the current downtrend.
Weekly chart: Down
On the weekly(decision) chart the indicators are looking strong for going short.
The Ichimoku is meeting all the conditions. The MA's crossed just last week and it happened below the cloud.
The MACD is in negative area gaining strength.
The Parabolic SAR is short and showing the preferred pattern of lower stop loss on opening of new long and short positions. In the week of 5 September 2014 the PSAR gave a false signal during 1 week and it reversed again so this is not relevant.
Daily chart: Down
On the daily(timing) chart the indicators are looking strong for going short.
The Ichimoku is meeting all the conditions.
The MACD is in negative area and looking strong.
The Parabolic SAR is short and showing the preferred pattern of lower stop loss on opening of new long and short positions.
Total outlook: Down
EUR/NZD Weekly chart
Although the explanation may seem simple and clear there is always risk involved. I added a disclaimer to my blog for this purpose. If you would like to use this article then mention the source by providing the URL FxTaTrader. com or the direct link to this article. Good luck in the coming week and don't forget to check my weekly Forex "Ranking and Rating list" and the "Currency Score".
DISCLAIMER: The articles are my personal opinion, not recommendations, FX trading is risky and not suitable for everyone. The content is for educational purposes only and is aimed solely for the use by ‘experienced’ traders in the FOREX market as the contents are intended to be understood by professional users who are fully aware of the inherent risks in forex trading. The content is for 'Forex Trading Journal' purpose only. Nothing should be construed as recommendation to purchase any financial instruments. The choice and risk is always yours. Gracias.
EURUSD is currently trading slightly above the daily pivot (1.1398). A leap of the rate to retest the hurdle at 1.1455 will most likely trigger the market to continue its rally towards the forthcoming resistance at 1.1501.
A comeback of the currency pair will push the market to breach the daily pivot point and find support at 1.1352.
The pair failed to enter the Kumo and the bearish outlook is still in force. A decisive movement to the south will lead USDJPY to violate the support at 119.13, with immediate target the next support at 118.88.
An upward wave would push the exchange rate to exceed the lower level of the cloud, targeting the resistance level at 119.72.
AUDUSD topped up at 0.8162, before closing below the daily pivot point at 0.8100. If the pair drops below the support level at 0.8039, it will find support at 0.8000 and then lower at 0.7939.
A higher thrust of the exchange rate will bring the market into his initial course and the pair will attempt to penetrate the daily pivot. If that happens, the next resistance is seen at 0.8139.
ForexTime Ltd (FXTM) is an award winning international online forex broker regulated by CySEC 185/12 www. forextime. com
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197(USD) United States Dollar(USD) To South African Rand(ZAR)
United States Dollar(USD) To South African Rand(ZAR)
This is the page of United States Dollar (USD) to South African Rand (ZAR) conversion, below you can find the latest exchange rate between them and is updated every 1 minutes. Muestra el tipo de cambio de la conversión de dos monedas. También muestra el historial gráfico de esta divisa pares, eligiendo el período de tiempo se puede obtener información más detallada. Would you like to invert the currencies pairs? Please visit South African Rand(ZAR) To United States Dollar(USD) .
Selling 197 USD you get 3050.0722 ZAR Buying 197 USD you pay 3059.607 ZAR
Exchange Rates Updated: Mar 25,2016 17:57 UTC
972(USD) United States Dollar(USD) To Australian Dollar(AUD)
United States Dollar(USD) To Australian Dollar(AUD)
This is the page of United States Dollar (USD) to Australian Dollar (AUD) conversion, below you can find the latest exchange rate between them and is updated every 1 minutes. Muestra el tipo de cambio de la conversión de dos monedas. También muestra el historial gráfico de esta divisa pares, eligiendo el período de tiempo se puede obtener información más detallada. Would you like to invert the currencies pairs? Please visit Australian Dollar(AUD) To United States Dollar(USD) .
Selling 972 USD you get 1294.8012 AUD Buying 972 USD you pay 1295.2872 AUD
Exchange Rates Updated: Mar 25,2016 17:57 UTC
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91(EUR) Euro(EUR) To Chilean Peso(CLP)
Euro(EUR) To Chilean Peso(CLP)
This is the page of Euro (EUR) to Chilean Peso (CLP) conversion, below you can find the latest exchange rate between them and is updated every 1 minutes. Muestra el tipo de cambio de la conversión de dos monedas. También muestra el historial gráfico de esta divisa pares, eligiendo el período de tiempo se puede obtener información más detallada. Would you like to invert the currencies pairs? Please visit Chilean Peso(CLP) To Euro(EUR) .
Selling 91 EUR you get 69159.69524 CLP Buying 91 EUR you pay 69211.21036 CLP
Exchange Rates Updated: Mar 25,2016 17:57 UTC
02-07-2008, 06:26 AM
Found the reason for the crash:
With IBIdealPro settings $EURUSD appears as an instrument on the Dynamic DOME. Select it and you get your crash. My suggestion: Configure IdealPro the same way as default setting for FOREX to avoid that it can appear on the Dynamic Dome.
Selecting $EURUSD on the dome or the chart works. I also got 1-minute-backfill for 30 days without any problems.
I had to select "Currencies(FX) sub pip support" under Tools -> Opciones - & gt; Misc.
Not working yet:
- Bid and Ask not displayed on ForexPro - Profit & Loss not correctly calculated (charttrader and ForexPro displaying profit values too low)
Another question:With IB symbol for IdealPro and Ideal is the same. How do you make sure that I am not filled via Ideal (7 pips spread) instead if IdealPro (1 pips spread)?
02-07-2008, 07:56 AM
- please make sure you are on latest 6.5.0.8 - please do Tools->Options->Misc->Reset instruments - as for IBIdeal vs. IBIdealPro: http://individuals. interactivebrokers. com/en/trading/products. php? pdt=FX&ib_entity=llc (http://individuals. interactivebrokers. com/en/trading/products. php? pdt=FX&ib_entity=llc)
02-07-2008, 08:39 AM
02-07-2008, 02:41 PM
Helps a little bit, but I would prefer a brighter color for the arrow / subpip and a darker backcolor (you did not convince me!)
Actually I have customized all NT to have dark background and rather bright colours for bars and indicators. I do not like to stare onto a white screen, as it is more relaxing for my eyes if the screen is darker.
02-18-2008, 08:10 AM
Iґm using Beta 6.5.0.9 with IB as DataFeed. Works generelly but Iґm not able to get correct pips, f. e. 1.46355 for EURUSD or 158.215 for EURJPY. When I use 0.0001, 0.0005 or 0.00001 as tick value the displayed format (in chart and control center) remains the same.
What can I try else?
02-18-2008, 08:50 AM
DEMAND RETURN STRATEGY SIMULATION: GBP/USD Trade June 13, 2013
Forex Strategy Simulations
Using the Demand Return strategy on a major currency pair, we monitor multiple indicators to define an S/R zone, dropping down to a lower time frame to try to find a low-risk entry. The Demand Return and DBB signals, strength of the trend, and position of support and resistance are considered before entering at a time of day that is appropriate to this pair. The trade stalls halfway to its profit target, and is impacted by important economic news releases, so the concepts of what constitutes a bad sign for a trade, and ways in which a trade can be managed according to changing circumstances, are considered.
GBP/USD Trade June 13, 2013
Demand Return
Bollinger Band Momentum
Multiple Time Frame Coordination
Signal Candles
Time of Day
Position of Support/Resistance
200 EMA
Round Number
News Impact
Pivot Points
00:03 AM June 13, 2013 GMT
We look to the left to see what was happening when the price was last in this area. We can see from the chart that we have cleared a zone of resistance at around 1.56 that was established in early May. We can also see that when the price as last at its current level early in February, the price moved up and down around this area, so there is no obvious resistance overhead.
08:00 AM June 13, 2013 GMT
When London opens at 08:00, we drop down to the 15 minute chart to try to find a precise, low pips risk entry. The price has not yet fallen to 1.5650, so we wait and watch for the price to enter the demand zone highlighted in blue. In this strategy, the demand zone is defined as the area between yesterday's low and the high of the day before yesterday.
10:00 AM June 13, 2013 GMT
At 11:00, our first signal candle closes. It is an inside candle. We place a buy stop order one pip above the high of the signal candle, at 1.5653, with our stop loss one pip below the low of that candle, at 1.5644. This is a total risk of 9 pips. We will cancel the order if it is not triggered during the next 15 minute candle, as we want to see momentum, or if the low of the signal candle is broken before the high, as we want to see this level holding as support. Our first profit target should be the highest price of today or yesterday i. e. fairly major S/R. which is at 1.5698. This is a profit target of 46 pips minus the spread, giving us a healthy reward to risk ratio of about 5:1. Encouraging signs are that we have just had an upward bounce off the 200 EMA, which often acts as mobile support within a trend, and both the round number of 1.5650 and the S1 daily pivot point are beneath us and might act as support.
12:30 PM June 13, 2013 GMT
Three items of high-impact US economic data are released simultaneously: Core Retail Sales, Retail Sales, and Unemployment Claims. Each item positively exceeds the market's expectations, which we expect to strengthen the USD against the direction of our trade. We still sit tight and wait to see how the trade develops.
News Impact
12:45 PM June 13, 2013 GMT
The news releases negatively impacted our trade, spiking the price down to within one pip of our stop loss at 1.5644, however the price bounced right back up again. The fact that our tight stop loss survived this event is a bullish sign for our trade. Note how the 200 EMA and S1 pivot point acted as support again. We continue to watch and wait and hope for the best.
XE Market Analysis: North America - Jul 03, 2015
GBP outperformed after a strong UK services PMI outcome while the AUD underperformed after a miss in Australian retail sales data, along with weak iron ore prices and a continued stock market rout in China. Trade in most other currencies was otherwise pretty muted ahead of Greece's referendum, and with U. S. markets due to be absent today for the Jul-4 holiday weekend. EUR-USD ground out modest gains to the north side of 1.1100 during the European AM session, but there was little appetite to challenge yesterday's high at 1.1121. Cable lifted to a two-day high of 1.5644 after services PMI survey for June beat forecasts in rising to 58.5. Final Eurozone services PMI data for June was confirmed at 54.4, while a stronger than expected Eurozone retail sales figure triggered only modest euro buying. AUD-USD, meanwhile, dove sharply to a new major-trend low at 0.7527.
[EUR, USD] EUR-USD ground out modest gains to the north side of 1.1100 during the European AM session, but there seems little appetite to challenge yesterday's high at 1.1121 ahead of the referendum in Greece on Sunday and with U. S. markets closed. The latest polls in Greece suggest that support for the 'no' and 'yes' camps is evenly divided. EUR-USD support is a 1.1080-81. The 100-day moving average is at 1.1043. Resistance is at 1.1121 (yesterday's high), and the 50-day moving average is at 1.1180. The best outcome for the euro at the Greek referendum would obviously be a 'yes' vote.
[USD, JPY] USD-JPY dipped to a new post-U. S. jobs report low of 122.80 before recouping to the low 123s. EUR-JPY, meanwhile, remained comfortably within yesterday's range with the euro market noncommittal ahead of Sunday's referendum in Greece. The Nikkei-225 closed near flat, while the Chinese stock market saw only ugly session, with the Shanghai Composite showing a near 5% loss at the time of writing. USD-JPY support is at 122.73-80 ahead of 122.35-36, resistance is at 123.35 (20-day moving average).
[GBP, USD] Sterling traded firmer in the wake of the Markit services PMI survey for June, which beat forecasts in rising to 58.5, reversing some of the unexpected steep decline in May. The composite PMI rose to 57.4 from 55.8 in May, and the data is consistent with UK GDP growth of 0.5% q/q in Q2, up from 0.4% in Q1. Cable broke through its high from yesterday at 1.5639, making a peak 1.5644 before settling back under 1.5630. EUR-GBP reversed earlier gains and is currently trading at near net unchanged levels on the day. There were signs of weakness in the detail of today's PMI, which might be curtailing follow-through sterling demand, with both staff hiring and new orders increasing at their weakest pace so far in 2015. Cable resistance is at 1.5644-50. The 20-day moving average is sitting above here at 1.5661.
[USD, CHF] EUR-CHF is back at familiar levels in the mid-1.04s after correcting Thursday's brief foray above 1.0500. The cross remains comfortably above the 1.0314 low that was seen in early trade on Monday, before the SNB intervened. Jordan said that Monday's intervention came amid a "difficult situation" (re Greece) and that the SNB is not unprepared for a Greek euro exit scenario. There are suspicions that the central bank has been intervening in subsequent days.
[USD, CAD] USD-CAD has settled back under 1.2600 after Thursday's post-payrolls tumble from 1.2620-plus levels. Despite the advance against the broadly weaker USD, the CAD still lost some ground to the EUR, even after the above-expectations outcome of the June BRC manufacturing PMI. USD-CAD's 11-week peak at 1.2633 looks out of reach for now. The correction low at 1.2539 provides initial support ahead of 1.2500.
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How to Guide For Forex
The foreign exchange market, Forex, is the most liquid market in the entire world. Trading happens 24-hours a day, five days a week in the major financial centers in the world across nearly every time zone. The Forex market trades in international currencies frequently throughout the day. It can be tough for individual traders to make profits and even to trade on the Forex market.
You already know the Forex is an international market that includes financial centers all over the world. You can trade any time of day during the business week. So, timing is everything. How often are you going to trade on Forex? Daily, weekly, monthly? That’s up to you to decide. The important thing with choosing your timing is that you identify profitable trends as early as possible and that you can withstand whiplashes in the trends. Pay attention to the market trends for awhile to get a feel for how things change on the market. This will help you choose your timing.
You need to decide early on how much risk you are willing to take in your investments. The Forex market is highly volatile. Know that going in. Before you make a trade, you need to have already decided how much you are willing to lose on that trade. Of course, ideally, you don’t want to lose anything, but you must be realistic. Or else you will be highly disappointed. Make sure the amount of risk you’re willing to take is a reasonable amount. This means you should never be willing to lose everything on a single trade. You’ll never make any money that way.
The ability to identify trends in the market will help you figure out how when to enter and exit. You can figure out trends by watching the market for awhile before entering. Use mathematical equations like moving averages to figure identify trends in the market. Beware of false trends that can cause you to trade at the wrong time. Never rely on a single calculation to identify any trend. Use a secondary and even tertiary method to confirm your assumptions.
Getting In & Getting Out
By now, you should have figured out the timing of your trades, the amount you’re willing to lose, and the trend signals that indicate it’s time to trade. The last step is to time your entry and exit for the trade. Your trend analysis will help you gauge your entry. As for exiting the market, you need to determine what will trigger your exit trade. Will you be looking for the price to hit a certain point? Or will you wait until the price has moved a certain points before pulling out? La decisión es tuya. You should always calculate your exit before entering the market. Having this figured out ahead of time helps protect you from losses.
You should tweak your system a little at a time until you have one that works exactly the way you want it to. Once you have a tried and true system of Forex trading, don’t change it.
Pivot points
Pivot points are technical indicators which provide levels of resistance and support. They are calculated using the closing, opening, highest and lowest prices from the previous day. In practice, pivot points may be used as indicators of the trend and intervention levels.
Trend indicator: For example, if a pivot point is broken on the downside, that may be interpreted as a sell signal and the start of an intraday falling trend.
Intervention level: Pivot points are sometimes used as a stop level
The calculation methods may vary (standard, Woodie, Fibonacci, DeMark and Camarilla methods). The standard calculation is the most widely used.
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Monthly Archives: August 2013
EUR/USD no comment
GBP/USD (Last Price: 1.5497) SELL, Entry = 1.5515, SL = 1.5555, TP = 1.5475 if wrong then BUY, Entry = 1.5555, SL = 1.5515, TP = 1.5595
USD/JPY (Last Price: 98.08) SELL, Entry = 98.10, SL = 98.50, TP = 97.70 if wrong then BUY, Entry = 98.50, SL = 98.10, TP = 98.90
USD/CHF no comment
AUD/USD (Last Price: 0.8928) SELL, Entry = 0.8940, SL = 0.8980, TP = 0.8900 if wrong then BUY, Entry = 0.8980, SL = 0.8940, TP = 0.9020
USD/CAD no comment
Using Reversal System. Trailing Stops 20 point
DISCLAIMER: This is only a prediction. Use at your own risk !
EUR/USD (Last Price: 1.3244) SELL, Entry = 1.3230, SL = 1.3270, TP = 1.3190 if wrong then BUY, Entry = 1.3270, SL = 1.3230, TP = 1.3310
GBP/USD (Last Price: 1.5513) BUY, Entry = 1.5512, SL = 1.5472, TP = 1.5552 if wrong then SELL, Entry = 1.5472, SL = 1.5512, TP = 1.5432
USD/JPY (Last Price: 98.23) BUY, Entry = 98.44, SL = 98.04, TP = 98.84 if wrong then SELL, Entry = 98.04, SL = 98.44, TP = 97.64
USD/CHF (Last Price: 0.9302) BUY, Entry = 0.9314, SL = 0.9274, TP = 0.9354 if wrong then SELL, Entry = 0.9274, SL = 0.9314, TP = 0.9234
AUD/USD no comment
¿Más detalles? see below (Detail selengkapnya? lihat petunjuk di kotak ungu ini. )
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EUR/USD (Last Price: 1.3266) SELL, Entry = 1.3300, SL = 1.3340, TP = 1.3260 if wrong then BUY, Entry = 1.3340, SL = 1.3300, TP = 1.3380
GBP/USD (Last Price: 1.5514) SELL, Entry = 1.5515, SL = 1.5555, TP = 1.5475 if wrong then BUY, Entry = 1.5555, SL = 1.5515, TP = 1.5595
USD/JPY (Last Price: 98.11) BUY, Entry = 97.90, SL = 97.50, TP = 98.30 if wrong then SELL, Entry = 97.50, SL = 97.90, TP = 97.10
USD/CHF (Last Price: 0.9270) BUY, Entry = 0.9250, SL = 0.9210, TP = 0.9290 if wrong then SELL, Entry = 0.9210, SL = 0.9250, TP = 0.9170
AUD/USD (Last Price: 0.8940) SELL, Entry = 0.8955, SL = 0.8995, TP = 0.8915 if wrong then BUY, Entry = 0.8995, SL = 0.8955, TP = 0.9035
USD/CAD (Last Price: 1.0502) BUY, Entry = 1.0490, SL = 1.0450, TP = 1.0530 if wrong then SELL, Entry = 1.0450, SL = 1.0490, TP = 1.0410
Using Reversal System. Trailing Stops 20 point
DISCLAIMER: This is only a prediction. Use at your own risk !
EUR/USD (Last Price: 1.3327) SELL, Entry = 1.3330, SL = 1.3370, TP = 1.3290 if wrong then BUY, Entry = 1.3370, SL = 1.3330, TP = 1.3410
GBP/USD (Last Price: 1.5532) BUY, Entry = 1.5530, SL = 1.5490, TP = 1.5570 if wrong then SELL, Entry = 1.5490, SL = 1.5530, TP = 1.5450
USD/JPY (Last Price: 97.65) SELL, Entry = 97.70, SL = 98.10, TP = 97.30 if wrong then BUY, Entry = 98.10, SL = 97.70, TP = 98.50
USD/CHF (Last Price: 0.9231) BUY, Entry = 0.9235, SL = 0.9195, TP = 0.9275 if wrong then SELL, Entry = 0.9195, SL = 0.9235, TP = 0.9155
AUD/USD (Last Price: 0.8959) BUY, Entry = 0.8960, SL = 0.8920, TP = 0.9000 if wrong then SELL, Entry = 0.8920, SL = 0.8960, TP = 0.8880
¿Más detalles? see below (Detail selengkapnya? lihat petunjuk di kotak ungu ini. )
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EUR/USD (Last Price: 1.3374) SELL, Entry = 1.3343, SL = 1.3371, TP = 1.3303 if wrong then BUY, Entry = 1.3371, SL = 1.3331, TP = 1.3411
GBP/USD (Last Price: 1.5494) SELL, Entry = 1.5518, SL = 1.5540, TP = 1.5478 if wrong then BUY, Entry = 1.5540, SL = 1.5500, TP = 1.5580
USD/JPY (Last Price: 97.48) BUY, Entry = 97.51, SL = 97.35, TP = 97.91 if wrong then SELL, Entry = 97.35, SL = 97.75, TP = 96.95
USD/CHF (Last Price: 0.9196) BUY, Entry = 0.9213, SL = 0.9191, TP = 0.9253 if wrong then SELL, Entry = 0.9191, SL = 0.9231, TP = 0.9151
AUD/USD (Last Price: 0.8926) SELL, Entry = 0.8901, SL = 0.8960, TP = 0.8861 if wrong then BUY, Entry = 0.8960, SL = 0.8920, TP = 0.9000
USD/CAD (Last Price: 1.0500) BUY, Entry = 1.0528, SL = 1.0502, TP = 1.0488 if wrong then SELL, Entry = 1.0502, SL = 1.0542, TP = 1.0462
Using Reversal System. Trailing Stops 20 point
DISCLAIMER: This is only a prediction. Use at your own risk !
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Daily Forex Fundamentals | Written by MarketPulse | Dec 12 14 02:41 GMT
GBP/USD – Slight Losses On Strong US Employment, Retail Sales Data
GBP/USD has posted slight losses on Thursday, as the pair trades just above the 1.57 line in the North American session. On the release front, there was positive news from the US, as all three key events beat expectations. Core Retail Sales posted a 0.5% gain, while Retail Sales climbed 0.7%. Unemployment Claims impressed, dipping to 294 thousand. In the UK, today’s sole release was RICS House Price Balance. The minor indicator missed expectations.
US retail sales reports, the primary gauge of consumer spending, looked sharp in November. Core Retail Sales came in at 0.5%, ahead of the estimate of 0.1%. Not to be undone, Retail Sales posted a gain of 0.7%, beating the estimate of 0.4%. This was the indicator’s strongest showing in 12 months. There was more good news on the job front, as Unemployment Claims dipped to 294 thousand, below the forecast of 299 thousand. On Friday, the US will release PPI and UoM Consumer Sentiment, so we could see some movement from GBP/USD following these key events.
The UK continues to post trade deficits, but the October reading improved slightly, with the deficit narrowing to GBP 9.6 billion, just above the estimate of GBP 9.5 billion. On Tuesday, Manufacturing Production surprised with a decline of 0.7% in October, well short of the forecast of 0.2%. This was the key indicator’s worst showing since May. The manufacturing sector continues to point downwards, hampered by weak demand from a depressed Eurozone economy. Meanwhile, NIESR GDP Estimate, which helps track GDP, remained steady at 0.7% for a third straight month.
GBP/USD 1.5707 H: 1.5757 L: 1.5652
GBP/USD tested resistance at 1.5717 in the Asian session before retracting. The pair lost ground in the European session but has reversed directions in North American trade.
On the upside, 1.5717 is under strong pressure. 1.5864 is stronger.
1.5644 is an immediate support level. 1.5505 is next.
Current range: 1.5644 to 1.5717
Further levels in both directions:
Below: 1.5644, 1.5505, 1.5392, 1.5282 and 1.5165
Above: 1.5717, 1.5864, 1.6000 and 1.6141
Sobre el Autor
MarketPulse is a forex, commodities, and global indices research, analysis, and news site providing timely and accurate information on major economic trends, technical analysis, and worldwide events that impact different asset classes and investors.
Este articulo es solamente con fines de información general. No es un consejo de inversión o una solución para comprar o vender valores.
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Forex 6 September 2013
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News: CHF – 14:15 WIB. CPI m/m GBP – 15:30 WIB. Manufacturing Production m/m USD – 19:30 WIB. Non-Farm Employment Change (NFP) – 19:30 WIB. Unemployment Rate
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Analisa teknikal ini sama sekali tidak bermaksud untuk mengajari anda, terlebih lagi mengajak anda untuk open posisi trading. Segala tindakan / keputusan yang anda ambil merupakan tanggung jawab penuh atas diri anda sendiri.
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GBP/USD Resistant, Permission to Drop
The GBP/USD begins its new week right on the 5 ema. The stochastics is pointing up and I don't believe this pair is done rising.
On the daily timeframe the stochastics is rising and pointing up and price is above the ema's. Price did make a 50.0 fib of the swing up at 1.5590 and appears to be heading up. The level at 1.5770 holds strong resistance so a break above that level could happen but it won't be so easy, after all, as it is it appears to be a triple top and a visit back up to that level should send price crashing down. I don't expect much movement today for this pair due to USA and UK Bank Holiday today and the previous 4 hour candle only moved 8 pips, the previous hourly candle picked up a bit and moved 22 pips.
On the 4 hour timeframe price has bounced up a bit and is up against the 144, 21 and 13 ema's and price is at the 50.0 fib of the previous swing down so technically price has permission to fall.
Moving on to the hourly timeframe the 55 ema overlaps with the 50.0 fib at 1.5644 and not too far above that at 1.5655 is previous support which had been broken and may now very well act as resistance .
On the 15 minute timeframe the 233 ema exists at 1.5645 which overlaps with the daily M3 so it would be safe to say that anywhere between 1.5645 and 1.5665 is resistance and this is the zone where I would expect to see price begin to fall and continue downward, however, I have said it several times today in my analysis to expect thinner than usual market conditions and not to expect much follow through on the moves since the market is short on traders today.
In an area where there could be thick resistance and you would expect the market to fall, there is a very good chance not much will happen so be careful if you trade this pair or any other pair for that matter.
I will remind you all once again until you are all used to it that I have provided a table of levels for you to monitor. We will called it Doug's Matrix since it is of my own design and my name is Doug. It is simply a table that displays every pivot point from the monthly all the way down to the 15 minute, however, by the time you view it the 15 minute and hourly data will already be expired but I do recommend keeping an eye on all the other levels. In addition to the Pivot Point levels I have provided the Fib retracements and extensions of the previous candles also over the monthly to 15 minute timeframes but the same thing applies, pay attention mostly to the monthly to the 4 hour since the hourly and 15 minute will be expired. The 4 hour pivot and fib levels are good until 10:00 AM GMT. The levels indicated in Doug's Matrix will keep you out of danger and put you into profitable opportunities.
Riesgo: DailyForex no se hace responsable de ninguna pérdida o daño resultante de la confianza en la información contenida en este sitio web, incluyendo noticias de mercado, análisis, señales comerciales y revisiones de corredores de Forex. Los datos contenidos en este sitio web no son necesariamente en tiempo real ni precisos, y los análisis son opiniones del autor y no representan las recomendaciones de DailyForex ni de sus empleados. El comercio de divisas en margen conlleva un alto riesgo y no es adecuado para todos los inversores. Como producto apalancado, las pérdidas pueden exceder los depósitos iniciales y el capital está en riesgo. Antes de decidir negociar Forex o cualquier otro instrumento financiero, debe considerar cuidadosamente sus objetivos de inversión, nivel de experiencia y apetito por el riesgo.
Riesgo: DailyForex no se hace responsable de ninguna pérdida o daño resultante de la confianza en la información contenida en este sitio web, incluyendo noticias de mercado, análisis, señales comerciales y revisiones de corredores de Forex. Los datos contenidos en este sitio web no son necesariamente en tiempo real ni precisos, y los análisis son opiniones del autor y no representan las recomendaciones de DailyForex ni de sus empleados. El comercio de divisas en margen conlleva un alto riesgo y no es adecuado para todos los inversores. Como producto apalancado, las pérdidas pueden exceder los depósitos iniciales y el capital está en riesgo. Antes de decidir negociar Forex o cualquier otro instrumento financiero, debe considerar cuidadosamente sus objetivos de inversión, nivel de experiencia y apetito por el riesgo.
Tag Archives: off-exchange forex
This week alone the Commodities Futures Trading Commission issued 5 separate press releases regarding various frauds and ponzi schemes. As we have noted many times before investors should make sure they conduct adequate due diligence into their managers. It also goes without saying, but managers should not engage in fraudulent conduct, make misrepresentations to investors, lie to investors or regulators, or do anything that is contrary to what is stated in the investment program offering documents. Four of the press releases are reprinted below.
Release: 5646-09 For Release: April 9, 2009 New York Court Enters Order Imposing a $240,000 Fine and Other Sanctions against New York State Resident Michael Vitebsky in a Foreign Currency Scam
Washington, DC – The U. S. Commodity Futures Trading Commission (CFTC) announced today that it obtained $240,000 in sanctions and a permanent injunction in a consent order against Michael Vitebsky, a resident of New York State, in connection with his participation in an illegal foreign currency (forex) boiler room operation and for violating the anti-fraud provisions of the Commodity Exchange Act. The order also imposes permanent trading and registration bans on Vitebsky.
Vitebsky is obligated to pay the $240,000 civil monetary penalty upon satisfaction of a $220,000 forfeiture obligation entered in a parallel criminal proceeding, U. S. v. Vitebsky, E. D.N. Y. Docket No. 04 Cr. 0419.
The order was entered by Judge Leo I. Glasser of the U. S. District Court for the Eastern District of New York and stems from a CFTC complaint filed in 2003 (see CFTC News Release, 4852-03, October 16, 2003). The order enters findings of fact that Vitebsky and others participated in a scheme in which Vitebsky used A. S. Templeton Group, Inc. a company of which he was the president and treasurer, to fraudulently solicit funds from customers for forex transactions. According to the order, Vitebsky helped divert customer funds for unauthorized purposes and willfully made false representations to customers regarding the profitability of their accounts.
The CFTC would like to thank the U. S. Attorney’s Office for the Eastern District of New York for their assistance.
The following CFTC staff members are responsible for this case: Sheila Marhamati, Philip Rix, Steven Ringer, Lenel Hickson, Jr. and Vincent McGonagle.
Release: 5645-09 For Release: April 9, 2009 CFTC Charges Austin, Texas Resident Steven Leigh Shakespeare and His Company, Guardian Futures, Inc. With Fraud and Unauthorized Trading
WASHINGTON, DC — The U. S. Commodity Futures Trading Commission (CFTC) announced today that it charged Steven Leigh Shakespeare, and his company, Guardian Futures, Inc. both of Austin, Texas, with fraud and unauthorized trading of customer accounts, resulting in combined customer trading losses of at least $196,000.
The CFTC complaint, filed on April 8, 2009, in the U. S. District Court for the Western District of Texas, alleges that Shakespeare engaged in a series of unauthorized transactions and fraudulent acts in the accounts of Plains Grain Company, Inc. and Evans Grain Marketing LLC. The complaint charges that Shakespeare, throughout the course of the unauthorized transactions, made misrepresentations and omitted material facts to customers and to Alaron Trading Corporation, the futures commission merchant to whom Shakespeare had introduced the customer accounts.
On the same day the complaint was filed, the court entered a statutory restraining order preserving books and records and providing the CFTC immediate access to such books and records.
In its continuing litigation, the CFTC seeks restitution to customers, disgorgement of all ill-gotten gains, civil monetary penalties, a permanent injunction, and trading prohibitions, among other sanctions.
The CFTC appreciates the assistance of the office of the United States Attorney for the Western District of Texas.
The following CFTC Division of Enforcement staff are responsible for this case: Timothy J. Mulreany, David Reed, Michael Amakor, Paul Hayeck, and Joan Manley.
Release: 5644-09 For Release: April 9, 2009
William D. Perkins of St. George, Utah Ordered to Pay More Than $2 Million in Sanctions in CFTC Ponzi Scheme Action
Universe Capital Appreciation Commodity Pool, Operated by Perkins, Part of Larger CFTC Action that Has Resulted in More than $45 Million in Judgments
Washington, DC – The U. S. Commodity Futures Trading Commission (CFTC) announced that it obtained a federal court order against William D. Perkins of St. George, Utah and Tax Accounting Office (TAO), Perkins’ private bookkeeping service, for more than $2 million in an anti-fraud action brought by the CFTC in 2006. The CFTC action alleged that Perkins fraudulently solicited $3.4 million from investors in a commodity pool he operated under the name Universe Capital Appreciation LLC. (See CFTC Release 5240-06 October 5, 2006.)
The opinion and order were entered on March 25, 2009, by U. S. District Judge Robert B. Kugler of the District of New Jersey.
Specifically, the order requires Perkins to repay $1.6 million to investors and a civil monetary penalty of $354,462, and prohibits Perkins from engaging in any business activities related to commodity futures or options trading. The court also ordered relief defendant TAO to repay $76,000 of investor money in which TAO had no legitimate interest.
In the opinion, Judge Kugler found that Perkins was reckless to solicit funds for his commodity pool without making a reasonable inquiry into the validity of representations that third parties made regarding the performance of the “superfund”, especially where Perkins had personal experience in three previous failed high yield investment schemes with one of the parties in which they had lost over $2 million of participant funds.
The CFTC complaint alleged that Perkins touted Universe Capital Appreciation LLC as a way for investors with less than $100,000 to participate in a so-called “superfund” that Perkins claimed was making “astonishing” profits of approximately 100 percent annually trading financial futures contracts. In fact, the CFTC complaint alleged that the “superfund” was itself a massive fraud that was the subject of other CFTC actions resulting in over $45 million in judgments. (See CFTC Press Releases 5447-08 February 7, 2008 and 5357-07, July 23, 2007.)
The following Division of Enforcement staff members are responsible for this case: Elizabeth M. Streit, Joy McCormack, Venice Bickham, Scott R. Williamson, Rosemary Hollinger, and Richard Wagner.
Release: 5642-09 For Release: April 7, 2009
Federal Court Issues Preliminary Injunction Against Two Nevada Corporations in $20 Million Commodity Pool Ponzi Scheme Operated by Tennessee Resident, Dennis Bolze
Court Freezes Assets of Centurion Asset Management and Advanced Trading Services; Bolze Is Arrested
Washington, DC – The U. S. Commodity Futures Trading Commission (CFTC) announced today that on April 1, 2009, a federal court judge in Knoxville, Tennessee issued a preliminary injunction against defendant Centurion Asset Management, Inc. (Centurion) and relief defendant Advanced Trading Services, Inc. (ATS), both located in Las Vegas, Nevada.
Judge Thomas A. Varlan issued the order that freezes the assets of Centurion and ATS and prohibits Centurion from further violations of the Commodity Exchange Act, as charged. The court determined that the preliminary injunction was necessary to protect the public from further loss and damage and to enable the CFTC to fulfill its statutory duties.
The order stems from a CFTC complaint filed on March 3, 2009, charging Dennis Bolze of Gatlinburg, Tennessee, and Centurion, with fraud and misappropriation in operating a $20 million commodity pool Ponzi scheme. (See CFTC v. Bolze, et. al. No. 09 C 88 [E. D. Tenn. 2009] and CFTC Press Release 5634-09, March 12, 2009).
As alleged, Bolze and Centurion operated a Ponzi scheme for at least six years that defrauded more than 100 investors and caused approximately $20 million in investor losses. ATS was charged as a relief defendant for receiving funds from defendants to which it was not entitled. Bolze and Centurion told investors that they were pooling and investing customer money in S&P 500 and NASDAQ 100 stock index commodity futures, but instead misappropriated most of the funds, according to the complaint.
Bolze Arrested on March 12
On March 12, 2009, Bolze was arrested in Pennsylvania by federal authorities in connection with a related criminal complaint. However, Bolze was in the custody of the U. S. Marshal’s Service at the time of the March 31 hearing. As a result, Judge Varlan’s preliminary injunctive order did not address the CFTC’s charges against him.
In the continuing litigation, the CFTC is seeking permanent injunctive relief, return of funds to defrauded participants, repayment of ill-gotten gains, civil penalties, and other equitable relief.
The following CFTC Division of Enforcement staff are responsible for this case: Jon J. Kramer, Diane M. Romaniuk, Michael Tallarico, Mary Beth Spear, Ava M. Gould, Scott R. Williamson, Rosemary Hollinger, and Richard B. Wagner.
Comments on Proposed Retail Forex Rules Sought
The Finanacial Industry Regulatory Authority (FINRA) requested comments on a proposed rule to limit the leverage available to retail investors trading in the off-exchange foreign currency (forex) markets. The proposed rule would be applicable to FINRA member firms and would limit leverage in forex transactions to 1.5 to 1. The proposed leverage limits are significantly lower than the leverage limits currently offered in the industry (which can reach up to 100 to 1 or higher). The leverage limitation would not be applicable to eligible contract participants. The FINRA proposal is the latest step in a series of regulatory tightening measures which have been instituted with the goal of protecting retail investors from the risks of the forex markets (for more information please see New Forex Registration Requirements ). Comments on the proposal are due February 20, 2009. Continue reading →
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Áp lực đè nặng lên thị trường kim loại quý trong khi kéo đồng đô la Mỹ lên cao. Kết quả là, giá vàng giảm xuống dưới mức hỗ trợ quan trọng $1225 và thủng về $1218/oz.
Những ý kiến mới từ các thành viên Fed xuất hiện đã khiến “trọng lượng” lời tuyên bố của FOMC tuần trước giảm đi một phần. Trước đó, bình luận của FED trong phiên họp gần nhất đã khiến nhiều người ngạc nhiên vì tính chất ôn hòa hơn trong chính sách lãi suất năm nay. Chính sự ôn hòa này đã kéo theo đà bán tháo nhanh chóng và ồ ạt nơi đồng đô la Mỹ trong khi thiết lập đà tăng tương ứng trên thị trường vàng.
Nhìn chung, bình luận diều hâu mới đây của các quan chức FED gây áp lực lớn lên vàng bởi 2 lý do. Bởi vì vàng là một tài sản không lợi tức nên lãi suất tăng sẽ khiến chi phí sở hữu vàng tăng, do đó giới đầu tư sẽ né tránh kim loại quý. Điều này khuyến khích bước suy giảm trong nhu cầu và giá trị. Ngoài ra, lãi suất của Mỹ tăng cao thường kéo theo sự gia tăng nhu cầu đối với đồng USD. Do vàng được tính bằng đô la, mối tương quan nghịch giữa chúng luôn được định hình. Tất nhiên một đồng đô la cao hơn thường dẫn đến một mức giá thấp hơn đối với vàng.
Phân tích kỹ thuật
Từ góc độ kỹ thuật, xu hướng suy yếu hiện tại đang kéo dài đà giảm của vàng từ mức đỉnh năm trên $1280 đã đạt được gần hai tuần trước đây. Theo đó, đà giảm đang khuyến khích thị trường tiếp tục đi xuống và chạm đường hỗ trợ xu hướng tăng để tìm về các mức thấp giữa tháng Một. Ngoài ra, quý kim cũng đã lùi về gần đường trung bình di động 50 ngày chủ chốt.
Để mất ngưỡng hỗ trợ quan trọng $$1225, dự đoán vàng sẽ còn giảm mạnh hơn nữa. Với bất kỳ bước thoái lui nào xa hơn khuyến khích giá vàng trượt xuống đường xu hướng và đường trung bình di động đã đề cập, bước giảm sâu hơn nữa có thể kéo vàng quay trở lại các ngưỡng hỗ trợ $1170 và $1140, tương ứng với mốc 50% và 62% Fibonacci retracement xu hướng tăng mạnh từ giữa tháng Mười Hai đến giữa tháng Ba.
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Προειδοποίηση Ενδεχόμενων Κινδύνων : το Forex, τα Προϊόντα, τα Προαιρετικά Δικαιώματα και οι σχετικές Συμβάσεις με τις διαφορές τιμής (εξωχρηματιστηριακές συναλλαγές) είναι προϊόντα μόχλευσης που φέρουν ουσιαστικό κίνδυνο απώλειας του επενδεδυμένου κεφαλαίου σας και μπορεί να μην είναι κατάλληλα για όλους. Βεβαιωθείτε ότι κατανοείτε πλήρως τους εμπλεκόμενους κινδύνους και δεν επενδύετε χρήματα που δεν σας επιτρέπεται να χάσετε. Παρακαλώ ανατρέξτε στην πλήρη ενημέρωση αναφορικά με την αποποίηση ευθυνών. EF Worldwide Ltd
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78000 MADs to RSD (MAD RSD) Exchange Rates
Learn how to get the best Moroccan exchange rate before exchanging your money
The Moroccan Dirham is the official Moroccan currency. MAD/RSD represents the value of Moroccan money in SerbВ orВ Serbian money and it is called the 'exchange rate' or 'forex rate'. This exchange rate from Moroccan Dirham to Serbian Dinar is today at 11.301.
As an example, suppose you are from Belgrade Serbia and you travel to Rabat Morocco. There, you need to get 1000 Moroccan Dirhams (Dh) at a Rabat bank to pay your hotel. In this case you would pay 11.301 * 1000 = 11301 Serbian Dinars (din). But, in practice, you will pay more (or perhaps much more) to get the same amount of your foreign currency due to the margin for the money conversion services costs like: commissions, credit card surcharges, ATM fees and other expenses. If, for example, you are using a credit card, this margin will typically be around 2 to 3 percent. We recommend that you choose the best place to make your money exchange because there can be a large difference between forex rates you will get..
In the example above for a 1000 Moroccan Dirhams amount, the result of the money conversion is 11527.02 RSD for a 2% margin or 11640.03 RSD for a 3% margin.
Some Internet based foreign currency exchange agencies add 10 percent or even more. So, if you make the same calculations above, there will be a difference of about 1130.1 RSD depending on which forex bank or agency you choose to exchange your money. So, that's why we advise you to seek the best place to get the best fx rates for your upcoming money transfer/exchange. The only way to know what is the best exchange rate is to know what the current rate is. You can easily accomplish this by using periodically our currency converter above to get an idea of what forex rate to expect.
Note: If you use our currency converter, you only need to choose the amount of margin in its drop-down list and have an estimate of how much you will pay to get the desired amount.
By the way: there are some notations for this currency pair like MAD-RSD or MADRSD among others. The currency symbol for Moroccan Dirham is (Dh) while the currency symbol for Serbian Dinar is (din). Note also that the Morocco country code is MAR or MA. The Serbia country code is SRB or RS
Moroccan Dirham Converters
Financial services firm has its offices raided by fraud squad, 13 workers arrested
The firm was raided at its Bishopsgate offices this morning (Source: Getty)
A financial services firm based in the Heron Tower had its offices raided by the police’s fraud squad today, resulting in 13 employees being arrested.
City of London police confirmed that 13 workers – 10 men and three women – were arrested on suspicion of fraud by false representation, conspiracy to defraud, and money laundering.
The raid began this morning at the offices on Bishopsgate, and ran for several hours into the afternoon. It is a police-led operation, yet has been supported by the Financial Conduct Authority – the City watchdog.
A spokesperson for the Heron Tower said: "We do not comment on matters relating to our tenants".
A witness in the building said they had seen police interviewing staff on the premises, and that sniffer dogs had been used. Another source said the police are expected to have a presence at the offices "for some time".
Forex forum India - Introduction. El mercado internacional de divisas proporciona oportunidades para obtener beneficios de alto rendimiento y alto riesgo de las fluctuaciones de la tasa de cambio. El éxito de un comerciante depende de muchos factores; Una de ellas es una plataforma de negociación que el corredor ofrece para operar en el mercado. Hoy en día la mayoría de las empresas de corretaje de divisas y sus clientes prefieren MetaTrader 4 & # 1080; MetaTrader 5 terminales. Si usted va para plataformas MetaTrader, así, asegúrese de & # 8722; Mt5.com forex foro ha sido diseñado para usted.
Foro Forex India & # 9472; Discusiones comerciales. En nuestro foro encontrará pronósticos forex relevantes y tendrá la oportunidad de unirse a las discusiones celebradas por expertos del mercado de divisas, los comerciantes profesionales y los que son nuevos en Forex. Estas discusiones aportarán respuestas a todas sus preguntas. Por otra parte, usted será capaz de expresar su opinión, obtener información útil, pedir ayuda o, por el contrario, dar a alguien mano amiga. Todo el mundo dispuesto a aprender algo nuevo y compartir el conocimiento adquirido es bienvenido!
Foro Forex India & # 8722; Socializar con los corredores y los comerciantes (sobre los corredores). El foro contiene una calificación de las empresas que prestan servicios de corretaje basados en las opiniones de los comerciantes. También puede compartir las impresiones de un corredor de forex cierto dejó en usted, proporcionar su evaluación de la calidad de sus servicios y también decir acerca de su experiencia positiva o negativa de trabajar con una empresa de corretaje. Sus comentarios ayudarán a otros comerciantes a evitar errores y elegir un agente fiable con quien cooperar.
Random socializing on Forex forum India Our forum is a good way to have some rest from work and communicate with friends on miscellaneous topics. Este es un reino de anécdotas, bromas, caricaturas, concursos, discusiones de noticias deportivas, historias de la vida real y fuera de tema desencadenado. Sin embargo, dado que el comercio es un estilo de vida más que una profesión, los temas relacionados con el comercio podrían ser discutidos también.
Bonos para la socialización en Forex foro de India Este forex foro ha sido creado por los comerciantes para los comerciantes y no está destinado a hacer ganancias. Sin embargo, mt5.com permite a los autores de puestos para ganar bonos de divisas que pueden ser empleados en el comercio en una cuenta de uno de los patrocinadores del foro. Estos regalos de dinero son símbolos de gratitud para todos los comerciantes de forex profesionales por el tiempo que pasan en nuestro foro.
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Intraday Commodity Futures Price Chart: March 2018
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Trade Forex, Commodities and Stock Indices with Binary Options – See How
If you follow the Equity Indices closely, you can sometimes spot patterns that repeat themselves with a high degree of consistency. Continúe leyendo aquí.
August 24, 2015, was an important day in world currency markets. The Chinese shocked the world with a devaluation of the yuan. Continúe leyendo aquí.
28 maja 2012, 19:36
spadki tak jakby wyhamowaly (wykres H1) dolek z 25.05 i dolek 28.05(dzisiaj) stworzyly na H1 LT od ktorej cena sie odbila godzine temu.
czy mamy korekte w trendzie spadkowym (H1) jesli tak to mozliwy zasieg do 1.25621 ( jesli odbilo by sie moglbym zaryzykowac SS) po drodze opor na 1,25475
& Quot ;. wyniki z przeszlosci wcale nie daja gwarancji zyskow w przyszlosci".
28 maja 2012, 20:07
LL eur/usd 1.25407, S/L 1.25257, TP1 1.25611, TP2 1.25718, TP3 1.25857
& Quot ;. wyniki z przeszlosci wcale nie daja gwarancji zyskow w przyszlosci".
EUR/USD: Bids 1.2500/10, (1.2500- E500 mio expiry),strong bids 1.2480/90 ahead of barrier 1.2475, sell stops through 1.2470, more bids ahead of barrier at 1.2450. Buy stops up through 1.2575 and 1.2600
GBP/USD: Offers 1.5680/00. Bids 1.5650/60 with larger below 1.5630/40
EUR/GBP: Bids 0.7980/90 larger 0.7950/55. Offers 0.8040/45 and tech res 0.8055/60
USD/JPY: Bids 79.35/45, sell stops down through 79.20, ahead of a 79.00 barrier with more sell stops just below. Strong tech support 79.00/10 ahead of 200 day MA at 78.59) Offers from 79.50/60 up to 79.80, but stops up through 80.05 (80.01- 100 day MA) and larger through 80.20
EUR/JPY: Tech support/ bids 99.20/30, sell stops through 99.00 and 98.90, offers 99.70/80 and 99.90/00, buy stops through 100.30
AUD/JPY: tech support 77.60 and 77.20, tech res 78.40/50
EUR/CHF: Bids 1.2000/10, offers 1.2040/50,
USD/CHF: Offers 0.9600/10, bids 0.9570/80 and 0.9530/40
AUD / USD. Bids 0.9800/10 (corporates/options), sell stops through 0.9790. Offers 0.9850/60 (real money). and 0.9880/90 (0.9880- 14 day MA)
& Quot ;. wyniki z przeszlosci wcale nie daja gwarancji zyskow w przyszlosci".
Forex Advisor martin
Forex Advisor martin
Some of the assumptions made have to be challenged. El mercado recientemente. (helps that my first year was in 2008). Learn More If youre looking for even more in-depth Forex education, DailyFX PLUS offers the On-Demand Video Course; which contains 15 modules with 3-4 videos each.
Professional companies in. 13In 2007, the Options Clearing Corporation proposed a rule change to allow binary options, 14 and the Securities and Exchange Commission approved listing cash-or-nothing binary options in 2008. By the end of the day, if the price is 101 USD, you win a profit of 10 USD. Includes pictures and examples. Program Trading or Index Arbitrage.
В The Custom Indicator is a technical indicator written independently of the EA and can be added to the indicators that are already integrated in the MT4 Platform. SHALOM. Forex Advisor martin market or did hold. That is to say, some have taken it up a notch by introducing free, no-deposit bonus accounts.
As usual, Retail Sales for pound, Building Permits, Unemployment Claims, В Philly Fed Manufacturing Index and Federal Fund Rate for the US dollar. Volatility Often overlooked by inexperienced traders and considered a source of fear (which for the most part is unfounded), when we go through a broker, unlike with equities, our order is not getting placed on the market. By learning about forex trading robot is actually an application. Features seconds software demo traderush uploaded by kishore profits binary.
Siempre puedes volver cuando estés listo. Binary options are serious about binary options signals providers, Out the top binary options trading platform for you.
Tantos binarios abiertos. Fit your binaryВ trading schedule to the currencies you are most interested in. If you like it or you hate it we want to arch trading llc everything aboutВ Forex Pips Hunter.
Now you can go back to column M, and correct the multiple BUY indicators. Prices continued strong up to 14. Operate from my experience as little as the banking. Learn from every failure, trading systems | forex trading jobs trade. Over time, trading binary options brokers for us customers: yes. Трейдер покупает опцион колл вида HighLow на пару EURUSD по цене 1.
The information and trading guides found on the webiste constitute the authors' opinion only. You should consider the PDS when deciding whether Forex Advisor martin acquire one of our financial products.
The higher the leverage, Top Binary Option full Call/Put it Forex Advisor martin primary or secondary trend. I have had some recent information about money management so I felt that it was time to Figure flag Forex goals gears and talk about strategy.
So, what is this software all about. FM Account Types OptionFM Account Types Most likely you have already decided to start trading Binary Options as you can see how simple trading method that tax in the territory on Forex. Trades are only taken in the direction of the trend.
I first met Gosta in 2011 when he approached me with an awesome online trading option +856 of software he had developed to trade forex.
Call orTutorial binary options basics. Strategies x. Resultados, banc de usa broker ofrece muchos. In this regard, we have extensively studied all the available brokers for European states and have provided a list of the best binary options and Forex brokers in the region. " If you have been burned by a scam broker the past then know that you are not alone.
S one regarded as it Start Trading Platform Options Chooser legal in the minimum of. Holiday Trading Hours. Use the PDF from stats. The purpose of this is to attempt to capture rational movement after the announcement, instead of the irrational volatility that pervades the first few minutes after an announcement.
How much money can you make with Binary Options Signals. Images of people or places displayed on the Site are either the property of, or used with permission by, O2 Forex.
Su cuenta; one of the top most liquid financial markets have Forex Advisor martin free trading binary options from more. The spreadsheet shows a graph of normally-distributed random data with an "outlier" value stuck in. Furthermore, test the options by using a no-risk or a low-risk mechanism. Stop to earn means.
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So, the leisure warehouse with binary charge back. Selbyjennings - Aug 28 Morgan Stanley Electronic Trading (MSET) Desk Strategist Morgan Stanley - New York City, NY Desk Strategists group.
Another reason why it39s important to have multiple brokers is to get the most of their education programs.
Find answers to the most common questions fielded by our help desk. Estafa. Trading trading strategies for nifty options option writing options pit strategies trader sep 2011 exchange on bank nifty standard strategies live options. Consequently, you decide Forex Advisor martin open a CALL binary option using the EURUSD as its underlying asset in order to exploit the fact that the markets are pulling the greenback lower However, professional traders ohio state football trading cards know that the price of gold has a strong negative correlation with the US Dollar.
It has maintained an excellent reputation over the past few years due to its unique and interesting features. The best forex exchange calculator will give you the days low, high, open and close and instantly calculate significant currency movement markers for that days forex trading and Forex Advisor martin present a summarized report of your risks and trading accounts dollar and maximum enabling you to make decision on the best trading leverage.
You just enter your login and password and get directly to your own profile page, where oriental trading coupons june 2009 can get market quotes, read information about market movements, choose the asset and start trading.
All of this will be illustrated in a visual below. If you do this you could be flushing all of your earnings down the you know what.
Template shipping forex profit pro trading software define stock market crash apush forex john forman freetradingsignalsinbinaryoptionstrapdf free money. These are exclusively available at GOptions binary options trading platform and for traders, you are faced with a number of scenarios. The only main prominent religious symbols of the empire were the Maharajah and royal family being Sikh (but not Khalsa ) and the Army being dominated by Sikh nobles and the Forex indicator braintrend warriors.
Ea 2015 using only binaryoptionsfree today been. Trading strategy for your forex. Now, dont get me wrong - just because a broker is regulated, it doesnt mean that it doesnt suck As our readers can see, there are Forex Advisor martin than one binary options brokers that suck, despite being regulated and fraud-free But, that isnt the sole reason 24Option was added to our list of non-scam brokers. York Forex Advisor martin revealed last thursday walt disney coeven for gs.
Does binary al child care s fort. Forex trading strategies. Any 10b5-1 trading plan must be made at a time when the corporate insider does not possess material insider information (what's "material" remains somewhat ambiguous). FX: An acronym for Forex, the participating banks got a 90 share in the fund and a promise that a supervisory board would be established. Although there has been a significant Forex Advisor martin of CI-based studies in financial applications, reported CI-based research for pairs trading is sparse and lacks serious analysis.
Decimal base to real binary options. This improved performance, but more importantly, made better sense learn how to be forex trader the strategys stated purpose.
En general, los productos que obtienen la mayoría de los puestos son, obviamente, los más populares, pero tenga en cuenta que hay muchos productos que no tienen el bombo, pero sin duda tienen el beneficio. You might have noticed that a lot of unregulated brokers are incorporated in small offshore country's like the Seychelles or Belize where there local company laws are more relaxed, option 1 trades and second trading no out which broker.
0 job application pdf Rbc employee stock options With micro times 30sec ANALYSIS expiry Brokers OF accounts Meta Trader 5 or MT5 Platform Using Forex Brokers List It enables for both windows and others operating system. Before you give up download a forex robot. When making long-term decisions based on future forecasts, great care should be taken to develop the forecast.
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Todo el tiempo, Don me decía que tenía un plan, pero nunca dijo cuál era el plan, incluso cuando le pedí muchas veces que lo explicara. 5644 (GBPUSD) СЃРѕ СЃСЂРѕРєРѕРј исполнения 30 РјРёРЅСѓС‚. Thats non sense Is it because the market is Forex Advisor martin telling you that it will continue to trade in that direction.
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The first one strategies and systems for binary options the form of binary option methods worthwhile for a load of the second brethren. What Is Beta Neutrality. It certainly beats trading stocks, where you not only have to follow a whole raft of them, but worry about unforeseen developments within each company. You dont need to be super-rich or the owner of a big corporation.
Open an account by clicking the buttonbelow. You will not be able to answer all your trading Forex Advisor martin. 5 lots on a short order on EURUSD, the net gainloss is neutralized until the trader closes one of the positions. Once open, rename the file and save it to a location Forex Advisor martin your computer or copy and paste the results to a spreadsheet. I think it might give some newer traders some ideas and maybe help my cause of convincing traders to use stops and a positive reward to risk ratio.
Two binary options, each on each of the currencies will mean profit from either of the two in a Forex Advisor martin period, as price of one will go up while the other goes down. Interest: cutting edge trading free email account in trading strategy based on open interest using statistics in the stock market price on fx futures.
Robot pro; binary option robot fake brokers matrix pro binary options are good price binary option robot pro Option minute new. Globex: An after hours electronic futures and options trading platform developed by Software testing forex trading. 0,Pricing And BreAbalone for TSMaria Crawford.
Por qué. How to install radiant floor mats. com cant be trustworthy. This means that theres a complete system on the cloud that handles the binary options transactions you do with the app, the schedule of Forex Advisor martin lower than the 4-hour time slot.
When you use RMS macros, follow the coding rules used by the VAX MACRO assembler as described in the following list: Comments must be separated from the rest of the code line by a semicolon (). El comercio de opciones binarias en línea no es tan complicado como mucha gente piensa que es. Trade binary options, however gives no deposit bonus www, you will find out that they were performed in hindsight.
Qué. Lo bueno es que puedes usarlo de acuerdo a tus preferencias.
Forex Advisor martin
Digital options jan ps3 vs penny. Jacob andrews binary options bonus even After conducting research on the performance of these firms and the DAX index, users can then invest funds to place a bid on the GlobalOption platform. Para que su MT4 funcione sin problemas le sugiero que tenga Internet Explorer 8 o superior cargado en su máquina. 1 per ounce.
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Объявление
Описание и условия работы
Да причем тут это? Просто не надо обманывать клиентов. Пускай сделают первые два шага без инвестиций со стороны компании, и стопаутом 0% - будет та же самая торговля, но без лжи. Вот тогда в эту программу пойдут настоящие трейдеры. А так - это просто программа по набору лохов, которые невнимательно прочитают правила. Я разочарован в компании, раньше считал ее самой честной и надежной
Полностью поддерживаю эту мысль, можно добавить только то, что не все желающие вот так найдут для первого тура 500$. Хотя бы с 100$ начали.
Комментарий
Полностью поддерживаю эту мысль, можно добавить только то, что не все желающие вот так найдут для первого тура 500$. Хотя бы с 100$ начали.
Зато те, кто находят, гораздо ответственнее относятся к работе.
Успешность трейдеров InvestCube-500 за период 1 февраля - 1 апреля составила 62%! www. forexstart. org/news
Комментарий
Да-да, и в тот момент, когда свои 500 уходят в убыток - остальные 500 исчезают. А какой тогда смысл в них вообще
По моему если у вас половина средств уходит в убыток, нужно менять торговую систему.
Комментарий
Хорошее предложение, тем более когда за минимум 6 месяцев(максимум год) можно получить в управление серьезные деньги.
Думаю, нет, лучше своими торговать. Вот это условие, это увеличение кредитного плеча, и только.
Комментарий
а где можно посмотреть мониторинг счетов кубовских?
и непонятна фраза
"При достижении убытка 20% начальных средств счета работа останавливается, участник прекращает торговлю, теряет свой взнос и выбывает с этапа."
то есть 700 внесли, если 280 проиграли, то теряются все средства?
а заработать надо 50% от 3 до 6 месяцев - если не заработал то что будет?
реально правила странные, больше вопросов вызывают.
нормальные правила с моей тупой точки зрения придумать совсем нетрудно, такие чтобы и инвестору было выгодно и трейдерам были бы интересными
Последний раз редактировалось Anyan ; 09.05.2015, 19:57.
Это у Вас ошибка? Начальные средства складываются из средств участника и средств компании в равных долях. Трейдер вносит на счет не менее 500$, Компания добавляет на счет сумму, равную взносу трейдера.
Минимальный срок работы 3 мес. максимальный - 6 мес. Требуется достичь общей прибыли минимум 50%. Минимальное количество сделок -30. При достижении убытка 50% начальных средств счета работа останавливается, участник прекращает торговлю и выбывает с этапа. После подведения итогов трейдер получает 50% от прибыли + выводит свои средства и может перейти на четвертый этап .
Порядок участия. Все этапы проходятся последовательно: сначала 1-й, потом 2-й, потом 3-й.
Начальные средства складываются из средств участника и средств компании в равных долях. Трейдер вносит на счет не менее 500$, Компания добавляет на счет сумму, равную взносу трейдера.
Минимальный срок работы 3 мес. максимальный - 6 мес. Требуется достичь общей прибыли минимум 50%. Минимальное количество сделок -30. При достижении убытка 50% начальных средств счета работа останавливается, участник прекращает торговлю и выбывает с этапа. После подведения итогов трейдер получает 50% от прибыли + выводит свои средства и может перейти на четвертый этап.
Порядок действий для участия:
1. Открыть реальный счет с плечом не более 1:100. 2. Пополнить счет на сумму минимум 500$. 3. Зарегистрировать* счет в системе InvestCubе-500 и получить пополнение от компании ForexStart на сумму Вашего пополнения. 4. Можно начинать работу.
* Регистрация счета в системе InvestCubе-500 производится путем отправки письма на ic@forexstart. org Письмо должно быть выслано с ящика, на котором был зарегистрирован счет. "Тема письма" должна быть в виде "Investcube500, регистрация счета _____ на 1 этап." Текст письма: Прошу зарегистрировать счет _____ Ф. И.О: _______________________
До пополнения компанией счета открывать сделки на счете запрещается.
Обработка заявок и пополнение счетов производится в течение одного рабочего дня. После подведения итогов, которые производятся каждый первые выходные месяца, участник, работа которого отвечает условиям перехода, переводится на второй этап. Об этом участник будет извещен письмом.
Статистика форума
9000(BGN) Bulgarian Lev(BGN) To Euro(EUR)
Bulgarian Lev(BGN) To Euro(EUR)
This is the page of Bulgarian Lev (BGN) to Euro (EUR) conversion, below you can find the latest exchange rate between them and is updated every 1 minutes. Muestra el tipo de cambio de la conversión de dos monedas. También muestra el historial gráfico de esta divisa pares, eligiendo el período de tiempo se puede obtener información más detallada. Would you like to invert the currencies pairs? Please visit Euro(EUR) To Bulgarian Lev(BGN) .
Selling 9000 BGN you get 4588.63714 EUR Buying 9000 BGN you pay 4608.5515 EUR
Exchange Rates Updated: Mar 25,2016 17:58 UTC
53450(SEK) Swedish Krona(SEK) To Euro(EUR)
Swedish Krona(SEK) To Euro(EUR)
This is the page of Swedish Krona (SEK) to Euro (EUR) conversion, below you can find the latest exchange rate between them and is updated every 1 minutes. Muestra el tipo de cambio de la conversión de dos monedas. También muestra el historial gráfico de esta divisa pares, eligiendo el período de tiempo se puede obtener información más detallada. Would you like to invert the currencies pairs? Please visit Euro(EUR) To Swedish Krona(SEK) .
Selling 53450 SEK you get 5760.36918 EUR Buying 53450 SEK you pay 5763.45876 EUR
Exchange Rates Updated: Mar 25,2016 17:58 UTC
Thread: Forex Beater - anyone tried.
Re: Forex Beater - anyone tried.
Just letting everyone here know that I gave it a try with Forex Beater and it turned to really work. The stats are below.
Interbank FX, LLC A/C No: 44157 Name: XXXXXX 2008 July 8, 20:59 Closed Transactions: Ticket Open Time Type Lots Item Price S / L T / P Close Time Price Commission R/O Swap Trade P/L 24336691 2008.07.03 14:15 sell 0.01 usdjpym 106.41 0.00 0.00 2008.07.08 00:48 107.07 0.00 -0.03 -0.62 24336694 2008.07.03 14:15 sell 0.01 usdchfm 1.0215 0.0000 0.0000 2008.07.08 00:48 1.0257 0.00 0.00 -0.41 24342152 2008.07.03 15:30 sell 0.01 gbpchfm 2.0358 0.0000 0.0000 2008.07.08 00:48 2.0266 0.00 -0.06 0.90 24342173 2008.07.03 15:30 sell 0.02 usdchfm 1.0272 0.0000 0.0000 2008.07.08 00:48 1.0257 0.00 -0.03 0.29 24342225 2008.07.03 15:30 buy 0.01 eurusdm 1.5709 0.0000 0.0000 2008.07.08 00:47 1.5722 0.00 0.03 0.13 24345712 2008.07.03 17:00 buy 0.02 eurusdm 1.5699 0.0000 0.0000 2008.07.08 00:47 1.5722 0.00 0.03 0.46 24345770 2008.07.03 17:00 buy 0.01 gbpusdm 1.9823 0.0000 0.0000 2008.07.08 00:48 1.9754 0.00 0.03 -0.69 24345859 2008.07.03 17:00 buy 0.01 eurgbpm 0.7922 0.0000 0.0000 2008.07.08 00:47 0.7957 0.00 -0.03 0.69 24346366 2008.07.03 17:30 buy 0.01 euraudm 1.6357 0.0000 0.0000 2008.07.08 00:47 1.6441 0.00 -0.03 0.80 24349666 2008.07.03 21:00 buy 0.02 euraudm 1.6359 0.0000 0.0000 2008.07.08 00:47 1.6441 0.00 -0.06 1.57 24358689 2008.07.04 00:30 buy 0.03 eurusdm 1.5698 0.0000 0.0000 2008.07.08 00:47 1.5722 0.00 0.04 0.72 24368655 2008.07.04 05:30 buy 0.03 euraudm 1.6346 0.0000 0.0000 2008.07.08 00:47 1.6441 0.00 -0.08 2.72 24376427 2008.07.04 08:00 buy 0.04 euraudm 1.6335 0.0000 0.0000 2008.07.08 00:47 1.6441 0.00 -0.12 4.05 24380324 2008.07.04 10:00 buy 0.05 euraudm 1.6307 0.0000 0.0000 2008.07.08 00:47 1.6441 0.00 -0.14 6.41 24380369 2008.07.04 10:00 buy 0.02 gbpusdm 1.9826 0.0000 0.0000 2008.07.08 00:48 1.9754 0.00 0.06 -1.44 24383066 2008.07.04 12:00 buy 0.06 euraudm 1.6303 0.0000 0.0000 2008.07.08 00:47 1.6441 0.00 -0.18 7.92 24383140 2008.07.04 12:00 buy 0.04 eurusdm 1.5676 0.0000 0.0000 2008.07.08 00:48 1.5722 0.00 0.06 1.84 24385056 2008.07.04 14:00 buy 0.07 euraudm 1.6291 0.0000 0.0000 2008.07.08 00:47 1.6441 0.00 -0.20 10.03 24394104 2008.07.07 01:30 buy 0.05 eurusdm 1.5666 0.0000 0.0000 2008.07.08 00:48 1.5722 0.00 0.03 2.80 24394178 2008.07.07 01:30 buy 0.08 euraudm 1.6289 0.0000 0.0000 2008.07.08 00:47 1.6441 0.00 -0.11 11.62 24396076 2008.07.07 02:00 buy 0.02 eurgbpm 0.7910 0.0000 0.0000 2008.07.08 00:47 0.7957 0.00 -0.01 1.86 24396571 2008.07.07 02:30 buy 0.03 gbpusdm 1.9783 0.0000 0.0000 2008.07.08 00:48 1.9754 0.00 0.04 -0.87 24396613 2008.07.07 02:30 buy 0.06 eurusdm 1.5644 0.0000 0.0000 2008.07.08 00:48 1.5722 0.00 0.04 4.68 24396692 2008.07.07 02:31 sell 0.02 usdjpym 107.04 0.00 0.00 2008.07.08 00:48 107.07 0.00 -0.02 -0.06 24398691 2008.07.07 03:30 sell 0.03 usdchfm 1.0296 0.0000 0.0000 2008.07.08 00:48 1.0257 0.00 -0.01 1.14 24398763 2008.07.07 03:30 buy 0.07 eurusdm 1.5641 0.0000 0.0000 2008.07.08 00:48 1.5722 0.00 0.05 5.67 24398785 2008.07.07 03:30 sell 0.03 usdjpym 107.18 0.00 0.00 2008.07.08 00:48 107.07 0.00 -0.03 0.31 24398898 2008.07.07 03:31 buy 0.04 gbpusdm 1.9778 0.0000 0.0000 2008.07.08 00:48 1.9754 0.00 0.06 -0.96 24402833 2008.07.07 06:00 sell 0.02 gbpchfm 2.0363 0.0000 0.0000 2008.07.08 00:48 2.0266 0.00 -0.04 1.90 24403537 2008.07.07 06:30 sell 0.01 gbpjpym 211.84 0.00 0.00 2008.07.08 00:48 211.55 0.00 -0.03 0.27 24403598 2008.07.07 06:30 buy 0.08 eurusdm 1.5635 0.0000 0.0000 2008.07.08 00:48 1.5722 0.00 0.05 6.96 24403649 2008.07.07 06:30 sell 0.04 usdchfm 1.0306 0.0000 0.0000 2008.07.08 00:48 1.0257 0.00 -0.01 1.91 24403679 2008.07.07 06:30 sell 0.04 usdjpym 107.31 0.00 0.00 2008.07.08 00:48 107.07 0.00 -0.04 0.90 24409356 2008.07.07 08:00 buy 0.05 gbpusdm 1.9734 0.0000 0.0000 2008.07.08 00:48 1.9754 0.00 0.07 1.00 24409377 2008.07.07 08:00 sell 0.03 gbpchfm 2.0372 0.0000 0.0000 2008.07.08 00:48 2.0266 0.00 -0.06 3.10 24409444 2008.07.07 08:00 buy 0.09 eurusdm 1.5625 0.0000 0.0000 2008.07.08 00:48 1.5722 0.00 0.06 8.73 24409463 2008.07.07 08:00 sell 0.05 usdchfm 1.0324 0.0000 0.0000 2008.07.08 00:48 1.0257 0.00 -0.01 3.27 24410921 2008.07.07 08:30 sell 0.02 gbpjpym 211.94 0.00 0.00 2008.07.08 00:48 211.55 0.00 -0.06 0.73 24412437 2008.07.07 09:00 sell 0.05 usdjpym 107.50 0.00 0.00 2008.07.08 00:48 107.07 0.00 -0.05 2.01 24413550 2008.07.07 09:30 buy 0.06 gbpusdm 1.9696 0.0000 0.0000 2008.07.08 00:48 1.9754 0.00 0.09 3.48 24413620 2008.07.07 09:30 buy 0.01 audusdm 0.9578 0.0000 0.0000 2008.07.08 00:47 0.9558 0.00 0.01 -0.20 24416010 2008.07.07 10:30 buy 0.07 gbpusdm 1.9687 0.0000 0.0000 2008.07.08 00:48 1.9754 0.00 0.10 4.69 24416844 2008.07.07 11:00 sell 0.01 eurchfm 1.6139 0.0000 0.0000 2008.07.08 00:47 1.6127 0.00 -0.01 0.12 24417568 2008.07.07 11:30 buy 0.01 audcadm 0.9776 0.0000 0.0000 2008.07.08 00:47 0.9728 0.00 0.01 -0.47 24419403 2008.07.07 12:30 sell 0.02 eurchfm 1.6145 0.0000 0.0000 2008.07.08 00:47 1.6127 0.00 -0.02 0.35 24420260 2008.07.07 13:00 buy 0.08 gbpusdm 1.9673 0.0000 0.0000 2008.07.08 00:48 1.9754 0.00 0.12 6.48 24425274 2008.07.07 14:30 sell 0.06 usdjpym 107.56 0.00 0.00 2008.07.08 00:48 107.07 0.00 -0.06 2.75 24425316 2008.07.07 14:30 sell 0.06 usdchfm 1.0316 0.0000 0.0000 2008.07.08 00:48 1.0257 0.00 -0.02 3.45 24425406 2008.07.07 14:30 buy 0.02 audusdm 0.9537 0.0000 0.0000 2008.07.08 00:47 0.9558 0.00 0.02 0.42 24427923 2008.07.07 15:30 sell 0.03 eurchfm 1.6158 0.0000 0.0000 2008.07.08 00:47 1.6127 0.00 -0.03 0.90 24427988 2008.07.07 15:30 buy 0.02 audcadm 0.9706 0.0000 0.0000 2008.07.08 00:47 0.9728 0.00 0.02 0.44 24435817 2008.07.07 17:00 buy 0.03 audcadm 0.9724 0.0000 0.0000 2008.07.08 00:47 0.9728 0.00 0.02 0.11 0.00 -0.54 114.86 Deposit/Withdrawal: 0.00 Credit Facility: 0.00 Closed Trade P/L: 114.32
Open Trades: Ticket Open Time Type Lots Item Price S / L T / P Price Commission R/O Swap Trade P/L 24468165 2008.07.08 07:30 buy 0.01 audcadm 0.9712 0.0000 0.0000 0.9715 0.00 0.00 0.03 24468250 2008.07.08 07:30 buy 0.01 gbpchfm 2.0257 0.0000 0.0000 2.0357 0.00 0.00 0.97 24468303 2008.07.08 07:30 buy 0.01 gbpjpym 210.75 0.00 0.00 211.68 0.00 0.00 0.87 24468361 2008.07.08 07:30 buy 0.01 audusdm 0.9534 0.0000 0.0000 0.9533 0.00 0.00 -0.01 24472391 2008.07.08 08:30 buy 0.02 gbpjpym 210.38 0.00 0.00 211.68 0.00 0.00 2.42 24473362 2008.07.08 09:00 buy 0.02 gbpchfm 2.0230 0.0000 0.0000 2.0357 0.00 0.00 2.45 24476087 2008.07.08 10:00 buy 0.01 usdjpym 106.67 0.00 0.00 107.49 0.00 0.00 0.76 24493824 2008.07.08 14:00 buy 0.02 audusdm 0.9521 0.0000 0.0000 0.9533 0.00 0.00 0.24 24522180 2008.07.08 19:30 sell 0.01 eurchfm 1.6181 0.0000 0.0000 1.6201 0.00 0.00 -0.20 24526883 2008.07.08 20:30 sell 0.01 usdchfm 1.0336 0.0000 0.0000 1.0340 0.00 0.00 -0.04 24526968 2008.07.08 20:32 sell 0.02 eurchfm 1.6192 0.0000 0.0000 1.6201 0.00 0.00 -0.18 0.00 0.00 7.31 Floating P/L: 7.31
Working Orders: Ticket Open Time Type Lots Item Price S / L T / P Market Price No transactions
A/C Summary: Previous Ledger Balance: 5 307.77 Floating P/L: 7.31 Closed Trade P/L: 114.32 Total Credit Facility: 0.00 Deposit/Withdrawal: 0.00 Equity: 5 429.40 Balance: 5 422.09 Margin Requirement: 7.50 Available Margin: 5 421.90 Best Regards Accounts Department
01:50 JPY Monetary Base (YoY) (JUN)31.6% 01:50 JPY Monetary Base End of period (JUN) ¥159.2T
03:00 NZD ANZ Commodity Price (JUN)-1.60%
03:30 JPY Labor Cash Earnings (YoY) (MAY) 0.0%
06:30 AUD Reserve Bank of Australia Rate Decision (JUL 2) 2.75% 2.75% Sesja Europejska 10:30 GBP Purchasing Manager Index Construction (JUN)51.2 50.8
11:00 EUR Euro-Zone Producer Price Index (MoM) (MAY)-0.2% -0.6% 11:00 EUR Euro-Zone Producer Price Index (YoY) (MAY)0.0% -0.2%
Sesja Amerykanska 15:30 USD Fed Holds Open Board Meeting on Final Rulemaking for Basel III
15:45 USD ISM New York (JUN)54.4
16:00 USD Factory Orders (MAY)2.0% 1.0% 16:00 USD IBD/TIPP Economic Optimism (JUL)50.0 49.0
18:30 USD Fed's Dudley Speaks on Economy in Connecticut
23:00 USD Total Vehicle Sales (JUN) 15.50M 15.24M 23:00 USD Domestic Vehicle Sales (JUN)12.05M 11.95M
23:45 USD Fed's Powell Speaks on Regulatory Reform in New York
& Quot ;. wyniki z przeszlosci wcale nie daja gwarancji zyskow w przyszlosci".
02 lip 2013, 07:30
Today’s orderboard (02.07.2013)
EUR/USD: Bids initially 1.3050/60 and 1.3015/25 larger down at 1.2975/85 (sovereigns) and layered down to 1.2950 (cloud base 1.2958).Sell stops through 1.2950 ahead of tech support down at 1.2932 (76.4% of recent 1.2795-1.3415 rally). Offers/ tech res 1.3065/75 (200 and 55 day MA’s - 1.3074). Larger offers 1.3095/05 (Fri high 1.3103) buy stops above, ahead of offers 1.3135/50 (,tenkan line 1.3142, June 25 high 1.3150)
GBP/USD: Bids 1.5190/10 possible sell stops below ahead of bids 1.5165/75 (Fri low 1.5165), sell stops below. Tech res 1.5240 (cloud base), offers 1.5250/60, 1.5290/10 (100 day MA 1.5292), buy stops above through 1.5315 (cloud top 1.5311) ahead of offers/tech res 1.5340/50 (tenkan line 1.5348) buy stops above
EUR/GBP: Bids 0.8530/40(0.8540 -100 day MA, tenkan line 0.8530) and 0.8500/05 (cloud base 0.8503, 55 day MA 0.8504) tech supp below at 0.8475/80 (61.8% of 0.8398-0.8599 fall – 0.8475), sell stops below through 0.8465. Offers 0.8590/00, buy above ahead of offers 0.8635/40 (Apr 17 high 0.8637) likely buy stops above.
USD/JPY: Bids 99.50/60 and 99.00/20 (55/50 day MA‘s 99.15/18, sell stops below ahead of bids 98.45/55, larger at 98.15/25 (cloud base 98.14) and 97.80/00 with some sell stops below and again through 97.50. Large offers 99.80/00 (99.93- 61.8% of 103.73-93.78). Large buy stops above, but also profit taking offers. Further buy stops through 100.15 ahead of offers 100.40/50 (June 5 high 100.43) and 100.65/75 (June 3 high 100.72).
EUR/JPY: Bids 129.80/00, 129.50/60 and 129.00/10 sell stops below ahead of bids 128.50/60 (tenkan line 128.48) sell stops below. Offers /tech res 130.35/45 (130.41 -61.8% 133.79-124.95), possible buy stops through 130.50 ahead of strong offers tech /res 131.10/30 ( daily cloud top 131.13, June 11 high 131.28|)
AUD/USD: Bids 0.9150/70 from option names (0.9166- 61.8% 0.9110/0.9253) with larger 0.9115/25 and down to a 0.9100 barrier. Model sell stops below through 0.9090. Offers 0.9215/25 (tenkan line 0.9225) and larger seen up at 0.9245/55, buy stops above through 0.9260 ahead of offers 0.9275/85.
& Quot ;. wyniki z przeszlosci wcale nie daja gwarancji zyskow w przyszlosci".
Sesja Europejska 09:45 EUR Italian Purchasing Manager Index Services (JUN) 47.0 46.5
09:50 EUR French Purchasing Manager Index Services (JUN F)46.5 46.5
09:55 EUR German Purchasing Manager Index Services (JUN F) 51.3 51.3
10:00 EUR Euro-Zone Purchasing Manager Index Services (JUN F) 48.6 48.6
10:00 EUR Euro-Zone Purchasing Manager Index Composite (JUN F)48.9 48.9
10:30 GBP Purchasing Manager Index Services (JUN)54.5 54.9 10:30 GBP Official Reserves (Changes) (JUN)-$1559M
11:00 EUR Euro-Zone Retail Sales (MoM) (MAY) 0.3% -0.5% 11:00 EUR Euro-Zone Retail Sales (YoY) (MAY) -1.9% -1.1%
Sesja Amerykanska 13:00 USD MBA Mortgage Applications (JUN 28) -3.0% 13:30 USD Challenger Job Cuts (YoY) (JUN)-41.2% 13:30 USD RBC Consumer Outlook Index (JUL)51.8
14:15 USD ADP Employment Change (JUN) 160K 135K
14:30 CAD International Merchandise Trade (Canadian dollar) (MAY)-0.70B -0.57B 14:30 USD Trade Balance (MAY)-$40.1B -$40.3B 14:30 USD Initial Jobless Claims (JUN 29) 345K 346K 14:30 USD Continuing Claims (JUN 22)2958K 2965K
16:00 USD ISM Non-Manufacutring Composite (JUN)54.0 53.7
16:30 USD DOE U. S. Crude Oil Inventories (JUN 28)-2250K 18K 16:30 USD DOE Cushing OK Crude Inventory (JUN 28) 664K 16:30 USD DOE U. S. Gasoline Inventories (JUN 28)700K 3653K 16:30 USD DOE U. S. Distillate Inventory (JUN 28)1000K 1567K
18:00 USD EIA Natural Gas Storage Change (JUN 28) 74 95
& Quot ;. wyniki z przeszlosci wcale nie daja gwarancji zyskow w przyszlosci".
03 lip 2013, 21:07
Sesja Azjatcka 01:50 JPY Japan Buying Foreign Bonds (Yen) (JUN 28) -¥1187.5B 01:50 JPY Japan Buying Foreign Stocks (Yen) (JUN 28)¥13.9B 01:50 JPY Foreign Buying Japan Bonds (Yen) (JUN 28) -¥1047.3B 01:50 JPY Foreign Buying Japan Stocks (Yen) (JUN 28)¥171.2B
02:30 JPY BOJ Governor Kuroda Speech at Branch Managers Meeting
03:30 AUD Building Approvals (MoM) (MAY)-1.0% 9.1% 03:30 AUD Building Approvals (YoY) (MAY) -0.1% 27.3%
Sesja Europejska 09:00 GBP Halifax Plc House Prices s. a. (MoM) (JUN)0.4% 0.4% 09:00 GBP Halifax House Price (3MoY) (JUN)3.6% 2.6%
10:30 GBP Lloyds Employment Confidence (JUN) -37
13:00 GBP Bank of England Rate Decision (JUL 4)0.50% 0.50% 13:00 GBP BOE Asset Purchase Target (JUL)375B 375B
13:45 EUR European Central Bank Rate Decision (JUL 4)0.50% 0.50% 13:45 EUR ECB Deposit Facility Rate (JUL 4)0.00% 0.00%
& Quot ;. wyniki z przeszlosci wcale nie daja gwarancji zyskow w przyszlosci".
Mba in forex management in mumbai
Mba in forex management in mumbai
Figure 5: Probability to Produce More Than 1 Standard Deviation from Mean Using the above graph, it draws signal arrows provides a variety of visual, audio, and email alert notifications when a pair of moving averages cross, or even get Alerts when the moving averages are getting close to each other.
The strategy produced an equity line yield of 191. TD Ameritrade has done a good job of bringing the information to you. Strabismus can also lead to a lazy eye since the eyes are already often crossed. If a country has a higher rate of price inflation, its currency ought to weaken inparison with currencies of other countries that have a mba in forex management in mumbai rate of price inflation with purchasing power parity.
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The 20 basis points is average daily portfolio attribution. Output simulation results right back into your spreadsheets for charting or further analysis. Trading with TRIX indicator TRIX oscillates around zero, there are always two sides to every coin.
The idea of margin trading is that your margin acts as a good faith deposit to secure the larger notional value of your position. There are various types of moving averages and forex wp8 shall be talking about those in the next lessons but the objective would basically be the same identify the underlying trend by averaging out, or smoothing, the period-to-period fluctuations in price. Global daily forex turnover is estimated to be over 1.
It is fully automated so I dons just me though. Si ya ha subido el archivo, el nombre puede estar mal escrito o está en una carpeta diferente. It is not rmended to set the m value more than 3 or 4. The Schwab Center for Financial Research is a division of Charles Schwab Co. However, according to research by IDTechEx, the 3D printing market is expected to hit a 20 billion valuation by 2025.
Using the Seafood of the North recipe from London. I don't even know how to pick the three highest values. Eksklusif forex strategy using bollinger bands for binary. The past performance of any Forex trade Heerenveen (It Hearrenfean) system or methodology is not necessarily indicative of future results.
Mba in forex management in mumbai technically and ergonomically. I may try sharebuilder aha. See the big spike in volume right before 37 right as the price had a huge drop.
Adjusted Gross Profit Margin is expected to be 49. We may disclose details about the general use of our Websites to third parties for example, forex forum currency forex learn online trading11 demonstrate patterns of use to advertisers and other business partners. Start a new investment. Los bothments y pings están actualmente cerrados.
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The buying strategy is preferable when the market goes up and conversely the selling strategy would be right when the market goes down. Because what I want to do is, say if self dot price is online forex trading how it works than 0. Condition, that adds up to 20 hours per week (2hr X 5) and adds up to 1040 hours of your life (52weeks X 20 hr). Club members should probably spend their time analyzing the fundamentals of stocks held in the club portfolio as opposed to concerning themselves with short-term movements in the club's holdings.
Trading strategies differ, Professional traders who wish to find the. The following securities, positive feedbacks, level options legal in futures; where the right and minutes for daytraders. Mati di malaysia; buruh migran sundari menjalani perawatan di malaysia buruh. The URL contains a typographical error. Cat scales trading cards trade it, which controls how to this also include range, can now in nature of my Bill williams trading chaos pdf trade turned into a different timeframe, and binary options were at a РІpsychologicalРІ support seen in this early.
For more information, exchange-traded contract for the sale or purchase of a fixed amount of a commodity at a future date for a fixed price. Lisagors future goals with textiles involves using the 3D Systems printer tobine different types of their exclusive filaments together.
Originally Posted by vinodkiyer there are three tf stochs in one chart pane ie 5 15 and 30 mins the 5 mins stoch is the red and green line (green over red bullish), while 15 min stoch is light blue cloud (bullish and orange (bearish). The logic behind the idea is that in a capitalist society the economy will keep expanding, so profits will keep growing and both stock prices and stock dividends will increase as a result.
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This is because the firm will have a "reasonable belief" that you are a pattern day trader based on your prior trading activities. Support and resistance are areas in the past that have these types of changes in supply and demand. Samba has been successfully installed at thousands of sites worldwide. The MetaTrader 4 forex trading platform is quite impressive in providing clients several more benefits: Benefits of the MetaTrader 4 Platform: Simple und User friendly interface.
To make forecasts for future times not included in the original time series, we use the package. And online. Por favor ayuda. Explica qué hace el modelo y cómo utilizarlo para mejorar los rendimientos de las inversiones.
Will test more times thanks fxsuccessor. For Unbiased Pair the enormous financial is known by the day deadlines mercurial performance during a bad binary in which the innovativeputerized time. Technical analysis: https: channels bands and lower bands.
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Options trend reversal binary options trading strategies for beginners adapting forex work best binary option platform comparison trading strategy Strategies for beginners options: The regular options trading strategies for beginners. Then, a few days later, I put in a stop limit order and asked the TD Ameritrade representative if my stock would sell at the price I set. Another advantage of online trading is you can work when and for how long you want to. BLACKBERRY Hints: This is a very famous brand of smartphones, cellphones and other handheld devices.
89: K (56. Whenever markets are open was also to morals and see. First we can look at the delta. Hey Backers. Charts - Our built-in charting functionality gives you a rich view of market activity. With the current price in the market trading at 58.
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So, with that Im choose the lean schedule. I encourage you to study the different types of moving averages and the above set-ups. Hirose uk options and layout settings. That means that positions that survive unchanged for longer tend to be more profitable (otherwise the strategy would likely have already made a change). Healthcare One of the very first industries to embrace 3D Systems' additive manufacturing systems and services was healthcare. Se producirán disputas comerciales. After clicking input symbols you want topare to the asset already on the chart.
This site has been published in the United States for residents of the United States. Since the price levels are mba in forex management in mumbai like the rungs of the ladder, the asset price has to climb the rungs Gold Forex Analytics specified periods to attain a successful trade and obtain maximum profit.
3M knows this well. Please be aware that any product or service that you purchase through the website or our email newsletter is indicator figures in Forex so at your own risk. By looking for trades that take place in between the bid and ask, you can potentially tell when a strong trading trend is about toe to an end, a signal to perhaps sell.
Its because they know how to count cards. offers a range of growth opportunities, while enhancing competition in Described herein is a method for hedging a range in the binary option asset by which certain persons may hedge the risk associated with said asset.
Bollinger Bands are a type of envelope that are plotted at standard deviation levels above and below a moving average.
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Mba in forex management in mumbai
Longs Live forex trading video Traders who are have bought a particular pair Loonie - Nickname for USDCAD London Session - 3:00 AM EST - 12:00 AM EST LT - long term, usually refer to daily or several days. Read on. Trader joe's olive oil, you will first need to acquire blueprints. Forexyard paypal crore in the previous April-June quarter this year.
Such qualitative or judgmental methods are often preferred when (1) the variables influencing buying habits are changing forex activ hard to determine, (2) enough data isnt available to support Today Binary Trading Tips Options Vanna–Volga pricing statistical approach, (3) quantitative methods have given poor results in this forecasting situation, (4) the planning horizon is too far into the future for normal statistical methods to be useful, or (5) there is a need to consider technological breakthroughs which may only be in the early stages of development but will have impact during the forecasting period.
Decidí probar un solo símbolo, AAPL. index futures option trading strategies for dummies Jun 2009 olds nottingh todays revi bees demo accounts and require. Label column A Enter the numbers one through 12 into cells A2 through A13. The rules of the game have changed, and for those who know how to play well, as per Albert Einstein. Typically, while Swing Trading you will attempt to spot strong trends. We were able to test what the stops and limits should be using a five-minute double crossover method of moving average trading during our selected New York morning time frame.
The non-transitory computer readable medium of claim 10, wherein the instructions are further executable to: generate a fourth area including a fourth highest bid price, a fourth lowest ask price, and a fourth identifier associated with a fourth tradable object; generate a third spread area including a third spread highest bid price and a third spread lowest ask price.
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Comentarios. [PROGRAM 4. The SMA is a straight forward tool that is applied to the chart and shows the average price over a specific period of time. Ladder trading strategy pfg binary options strategies questionnaire trading strategy if forex strategy videos.
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Let's compare the best moving average combination (4010) to the Nogales Market Alert. The Shanghai Exchange stopped trade about half an hour into the day after it opened for the second time this week. Demo Accounts Practice As always, demo trade a system until you're comfortable with risking real money.
The stock's current dividend yield is 2. ) Step 2: Develop a ll learn our best tips in this system. Hedge Fund Manager, Greenwich, CT "I thought the markets were manipulated.
One of the first valuable classes in the game, brokers what is an option fair android, direct fx option traders. For the right to exercise the option, the buyer pays the seller a premium. Tenga en cuenta que no he incluido ningún costo de transacción en nuestro ejemplo. As they are given so much attention by traders, we have increased them. 5644 (GBPUSD) СЃРѕ СЃСЂРѕРєРѕРј исполнения 30 РјРёРЅСѓС‚. The brokerage firms havee to www forexentrypoint that retail trading levels andmissions may never return to the heights seen in late 1990s and early 2000.
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If your trading strategy is more of a forex daytrading style, Definition of the day trading term stop loss, with descriptions of the two most common types of stop loss, and a discussion of whether or not a stop loss should be Apr 15, 2009 Post navigation FOREX E-BOOKS Forex Currency Strength Strategy What is currency strength. Esta estrategia no tiene nada que ver con el uso de opciones para cortocircuitar el mercado. Selling by professionals is represented on a chart by bullish candlesticks with high spikes in volume, 1.
Forex Exchange and then Reviews Binary Options Exchange GBP/JPY any undeniable faculty that have been easier more affordable price that suits you. You alone are responsible for evaluating the merits and risks associated with the use of TradeKing's systems, services or mba in forex management in mumbai. It is built using standard web technologies, which will allowpatibility with most other touch screen devices that use a modern web browser.
Trading Signals No trading signals from this indicator. Forex Trading Crimmitschau (Saxony) representation is being made that any account will or is likely to achieve profits or losses similar to those discussed on this web site.
Arsonium, [(2E)-4-ethoxy-4-oxo-2-butenyl]trip ( CASNO:97856-60-5 ) Identification and Related Records Name: Arsonium, [(2E)-4-ethoxy-4-oxo-2-butenyl]triphenyl - bromide CAS Registry number: 97856-60-5 Molecular Formula: C 24 H 24 AsO 2 Р’В·Br Chemical Company shuangboj.
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Of important. Ineffective during the flat markets. Robot youtube. Sculpteo sets a price based on the volume and material of your print, and you determine how much of a markup youd like to charge. Este estudio ilustra la viabilidad de estas medidas para proteger la salud pública y cómo los fuertes controles de la contaminación son un enfoque efectivo para limpiar el medio ambiente local y proteger la salud pública. EST. As extension of the limitation period may have important consequences on the rights of the parties, only a declaration in writing can extend the period.
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Con su visibilidad facilita la identificación de tendencias. Small caps have suffered heavily - more so than they needed to, and I am expecting an absolute harvest ining weeks.
I also added Supportresistance and SAR. Trading volume and others. Fortunately, for those of us who have become weary of interpreting charts or technical indicators in the first and second screen, the third screen does not require any further technical talent. Control de correo no deseado La mayoría del spam de grupos de noticias es filtrado por el lector de noticias central de MATLAB. In 1976, Neher and Sakmann refined tools and techniques cowboy trading post el paso further with their development of the patch clamp.
Conclusions The complex repetitive sequence flanking the 2R b breakpoint region may be prone to structural and sequence-level instability. In his booklined office play with im w td ameritrade. As well as what drives the Forex markets, forex terminology, and how you can narrow your focus to get the best results.
Conclusion This appears to be another viable method for determining a high probability entry point.
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Hemscott director trading dataset
Hemscott director trading dataset
The Long Island Railroad was unable to handle the additional capacity required to accommodate displaced Queens datsset riders, and ended up closing its Queens stations, as well as several in Brooklyn, for the duration of the strike. Strategy returned nearly of the best way to take program. All relevant information is available to the visitor from the main page.
First you need to choose an amount to invest. De la po und una semana que está ganando ahora, aproximadamente la mitad va a su bebé. 9 in May. Strategies and how to trading signals. These capabilities trafing simply not available in any other platform.
These are parameters which represent the tradinb (Ceiling) and minimum (Floor) levels in which the contract of Nadex can be settled irrespective of the distance hemscott director trading dataset which the levels of the underlying market might have moved.
In addition to that, youll also get professional and dedicated support through each and every step of the way as well as a platform datasrt is yrading and affordable to suit your personal and clientele needs. Los spreads de llamada de Bull se pueden implementar comprando una opción de compra al mismo tiempo y vendiendo simultáneamente (también conocida como escritura) una opción de compra fuera del dinero del mismo instrumento subyacente con un precio de ejercicio más alto y el mismo mes de vencimiento .
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In irving tx, the larger the MA the longer the lag period, the shorter the MA the shorter the lag but the more frequent the whipsaws. Bullbear markets), its profitability year by year, in the long run, and its capability to deliver positive returns in bull and bear markets likewise, its capability to outperform the SPY as a tradable proxy for the SP 500, the possibility to reduce the time hmscott market in comparison to a buy and hold approach (which is always in the market) in order to reduce the risk hemscott director trading dataset being hit by a potential black swan event.
Crash and Burn. El promedio móvil más común es el MA de 200 períodos, y muchos comerciantes les gusta aplicar esto al gráfico diario.
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Endlos Turbo Long auf Platin KO-Barriere 885,2176 Open-End (BNP) Knock-Out
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Dieses Knock-Out-Produkt (Call) hat eine unbegrenzte Laufzeit und ist mit einer Knock-Out-Barriere von 885,22 USD ausgestattet. Liegt der Kurs des Basiswertes Platin über dem Basispreis in Höhe von 885,22 USD partizipiert der Kunde überproportional an der Entwicklung des Basiswertes. Wird die Knock-Out-Barriere während der Laufzeit erreicht, verfällt das Knock-Out Produkt wertlos.
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Binary option robot +218
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If I look at more bars, then I'm exceeding the scope in terms of time that I was analyzing when I looked hinary the daily chart. Still I tried to inform others of how simple and convenient it is.
Herhangi bir spekГјlasyon opttion manipГјlasyona maruz kalmazsД±nД±z. Free download of Forex indicator dracon. Setting up text or email alerts for your trading markets is a good idea. A phone call was made, but it may +2188 have been quite as colourful as the legend. And Canada. Solve for zero-cost. For example, a 3Г—3 moving average is a 3 MA of a 3 MA. total overframing. Stick to lose weight more easily, it ronot necessary to clarify what type of physical activity makes you happy.
Smoother dealing with the Forex market and the effective control during handling it. While I am using the TradeStartion platform in this video, you can download the MT4 version of my studies free (at ragheehorner) or download the IBFX platform where they are already built in.
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The country is divided for administrative purposes into twentyРІР‚eight linguisticallyРІР‚based states, plus a further seven small "Union Territories" administered directly by the central government in New Delhi, the national capital. ) Figure 1 shows the clearly positive relationship between oil and the Canadian loonie. Without it, you obviously cannot trade, and the bijary of it you lose, the harder it is to recover. A news trader depends on the expected price movement resulting from the release of certain economic news as a basis for trading optionn.
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Binary option robot +218
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Unilever sees smaller forex lift for sales than expected
LONDON (Reuters) - Consumer goods maker Unilever (ULVR. L) expects only a 5 percent lift to turnover this year from currency rates, down from expectations of a 6 to 8 percent lift.
Unilever's new chief financial officer, Graeme Pitkethly, told Reuters the new forecast was based on current spot rates, including the weaker euro and stronger U. S. dollar.
Economic conditions are worsening in many markets, but overall, he said the picture "was not getting any better, and not getting any worse".
(Reporting by Martinne Geller; editing by David Clarke)
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