Jangka Panjang Forex Trading Strategy
Grafik Perdagangan Berjangka Harimau untuk Perdagangan Mata Uang Jangka Pendek. Pedagang kaki lima sering menambahkan mata uang ke portofolio, untuk mendapatkan keuntungan dari peluang luar biasa yang dapat dilakukan perdagangan mata uang. Meskipun benar bahwa saham memerlukan seperangkat analisis yang berbeda, cukup ada Yang sama antara dua kelas aset yang memungkinkan pedagang saham beradaptasi dengan mudah terhadap perdagangan mata uang Meskipun metode berikut dirancang sebagai perdagangan ayunan yang dapat diadakan selama beberapa hari atau minggu, juga memungkinkan untuk menggunakan metodologi perdagangan harimau Untuk memegang posisi lebih lama lagi, selama perdagangan tetap menguntungkan Untuk mempelajari lebih lanjut tentang bagaimana mata uang diperdagangkan Forex Wading Ke Pasar Mata Uang TUTORIAL Menganalisis Pola Grafis. Mengapa Tiger Tampaknya ciri hewan dapat digunakan cukup efektif untuk menggambarkan pedagang manusia. Atribut Jangan lupa bahwa sapi jantan bisa menghasilkan uang, sehingga bisa beruang tapi mengapa referensi ke harimau Harimau adalah pemburu yang luar biasa dan memiliki selebaran. Kesabaran bial kucing Ini bisa duduk dan menunggu sampai peluang berburu yang sukses sangat tinggi Bagi para pedagang dengan karakteristik kepribadian yang serupa, trading cara berburu harimau bisa sangat menggiurkan. Apa itu Chart Jangka Panjang Agar bisa menjadi Seorang pedagang harimau, investor perlu memposisikan diri sehingga peluang perdagangan bisa terbaik dilihat dari kejauhan, sehingga untuk berbicara Untuk mendapatkan gambaran pasar dan cara tradingnya, kita harus selalu melihat ke grafik mingguan. Untuk saham Pedagang pasar, grafik mingguan mungkin merupakan grafik jangka pendek yang relatif dibandingkan dengan grafik bulanan atau tahunan. Namun, di pasar forex, grafik mingguan dianggap berjangka panjang, dari perspektif trader. Apa itu Special About the Weekly Chart A Chart mingguan di pasar forex adalah satu-satunya kerangka waktu yang menunjukkan penutupan yang benar Tutup pada hari Jumat sore di 5:00 EST, dan pasar forex buka lagi pada hari Minggu pukul 5 sore. EST Grafik harian di pasar forex tidak benar-benar dekat, walaupun ada aku s Waktu penyelesaian, yang berubah tergantung pada pasar forex yang Anda trading. Misalnya, pasar New York dibuka pada hari Minggu pukul 17:00 EST di New York Keesokan harinya, New York tutup pada pukul 5 sore EST untuk penyelesaian, dan hanya satu menit kemudian , Pasar kembali terbuka dan semua perdagangan resume Tidak ada dalam semalam, karena begitu New York tutup, Australia membuka Oleh karena itu, pasar forex berdagang 24 jam sekitar jam sampai Jumat pukul 17:00 EST. Dengan menggunakan grafik mingguan, Gambar 1, kita akan Dapat menarik garis kita di pasir, apakah ini garis tren Garis Fibonacci garis Gann, atasan ganda atau dasar dll Garis-garis ini biasanya ditarik dari titik rendah mingguan atau mingguan mingguan, begitu juga pada penutupan mingguan ini akan membantu mengukur Dimana pedagang jangka panjang memusatkan perhatian Karena pedagang jangka panjang biasanya adalah pedagang posisi yang biasanya tertarik untuk melakukan peluang perdagangan, mereka cenderung mengambil posisi lebih besar, dan oleh karena itu, secara kolektif cukup berpengaruh dalam menciptakan sebuah di Rection di market. Whether reversals sering terjadi pada level Fibonacci adalah hasil dari beberapa tatanan natural yang dipatuhi pasar, atau apakah level Fibonacci memiliki kepercayaan karena begitu banyak trader melihat mereka, dan karena itu trade off dari level ini, benar-benar tidak masalah. , Selama level ini menampilkan beberapa validitas. Dapatkan Gambaran Gambaran Besar untuk perdagangan harimau, kerangka waktu yang lebih panjang mendominasi kerangka waktu yang lebih pendek Dengan kata lain, sinyal dari grafik mingguan lebih menonjol daripada sinyal dari grafik harian Harga yang ditunjukkan pada Kerangka waktu yang lebih pendek sebenarnya dapat berosilasi dan menghasilkan sinyal beli atau jual alternatif, bahkan saat tren yang lebih panjang tetap utuh. Namun, bila kerangka waktu yang lebih lama menunjukkan harga mendekati tingkat pembalikan potensial, kita perlu beralih ke kerangka waktu yang lebih pendek karena menjadi Indikator utama mengenai apakah titik balik yang ditunjukkan pada kerangka waktu yang lebih lama cenderung memiliki daya tarik. Untuk mempelajari lebih lanjut tentang charting mingguan, lihat Weekend Analysis AP Untuk mendapatkan Keuntungan Forex Kemudian, kita menggambar bagan dari pasangan mata uang yang ingin kita trading, set ke kerangka waktu mingguan lihat Gambar 2 di bawah ini dan kemudian satu set lagi ke kerangka waktu harian, Gambar 3 di bawah Pada kedua grafik , Kita menambahkan indikator Rasio Kekuatan Relatif Rasio set ke interval dua periode Selain itu, kita menambahkan tiga rata-rata bergerak sederhana masing-masing ditetapkan ke 20 periode Kami menetapkan rata-rata bergerak pertama menjadi 20, namun dihitung pada harga tertinggi, yang kedua dihitung pada Titik terendah dan rata-rata bergerak 20 periode terakhir pada harga terakhir atau penutupan. Kami akan menggunakan RSI sebagai filter untuk menentukan kapan harus membeli atau kapan harus menjual, dan garis ekuilibrium akan digunakan sebagai indikasi tren dan bagaimana Harga bergerak dari tren menuju sentimen ekstrim Mudah-mudahan, perangkat lunak yang Anda gunakan akan memungkinkan Anda melakukan ini Untuk melihat lebih banyak tentang charting, lihat Charting Your Way To Better Returns. Understanding the Fundamental Drivers Misalnya, jika kita melakukan trading EUR USD Kita bisa mengawasi comm Dari Trichet, presiden ECB Bank Sentral Eropa saat ini untuk memahami apakah ECB cenderung menaikkan suku bunga di Zona Euro Jika Amerika Serikat mempertahankan suku bunga rendah namun ada kemungkinan ECB hawkish terhadap inflasi dan bisa Menaikkan suku bunga, maka kita ingin lama euro terhadap dollar. Kepribadian Harimau Ingat kepribadian harimau itu berarti kesabaran kucing Kita perlu bersiap menunggu sampai semua bintang selaras, yaitu harganya di Titik pembalikan yang ekstrem, atau trennya kembali ke ekuilibrium, yang akan memberi kesempatan untuk melakukan perdagangan dengan harga yang lebih baik Jika salah satu dari kedua faktor ini harus terjadi, kita bisa bersiap untuk menerkam Untuk lebih banyak tentang perdagangan seperti harimau, Baca Kesabaran Apakah Seorang Trader s Virtue. Overview dari Perdagangan Harimau Pertama, mari kita lihat grafik mingguan DXY untuk melihat apakah harga mendekati sebuah pola atau garis tren, atau garis support atau resistance Fibonacci Pada gambar 1 di bawah ini, kita Gunakan grafik mingguan dari DXY Dollar Index untuk mendapatkan ikhtisar sentimen terhadap dolar Harga mendekati level ganda Karena indeks DXY atau dolar terdiri dari enam mata uang, ini menawarkan perspektif cepat kekuatan dolar atau kelemahan umum. Gambar 1 Indeks Dollar Mingguan. Chart courtesy Wordon Brothers. Markets Can Overreact Pasar dapat dan melakukan tindakan berlebihan karena manusia emosional bereaksi berlebihan Hal ini menyebabkan penyimpangan dari titik keseimbangan, sampai beberapa titik ekstrem tercapai dan kemudian, pada waktunya, pendulum akan mulai Kembali ke rata-rata Ini mengejutkan mundur dan mundur dari pusat disebut volatilitas dan inilah yang memberi kesempatan pada harimau untuk membuat umpan yang menguntungkan. Untuk membaca lebih lanjut tentang bagaimana pasar terpengaruh, baca Dampak Volatilitas pada Returns. Finding Weekly Set - Up Dengan memindai melalui semua mata uang utama, kami melihat bahwa grafik mingguan Gambar 2 dari dolar euro mendekati perpanjangan Fibonacci 127 6 Kita dapat menyimpulkan bahwa c Oincidence, level ganda di level support satu dan Fibonacci di sisi lain, mengindikasikan peluang odds yang tinggi untuk perdagangan USD USD. Gambar 2 Mingguan EUR USD. Chart courtesy Wordon Brothers. Chart Harian - Signal Entry Setelah kita bahagia Bahwa ada kesempatan pembuatan bir, kita bisa beralih ke grafik daily figure 3, di bawah EUR USD untuk mengamati apa yang terjadi saat harga mendekati ekstensi 127 6 Kami juga melihat apakah RSI bisa mencapai level 5, yang mana Akan menunjukkan sentimen yang sangat oversold dan ekstrem Dengan mendengarkan ceramah di pasar, kami mendengar beberapa pakar mengatakan bahwa euro akan mencapai paritas dengan dolar dan konsensus umum di pasar akan menjadi short euro. Gambar 3 EUR harian USD. Chart courtesy Wordon Brothers. Candlestick Chart Pada titik ini, penting juga untuk melihat apa yang terjadi pada garis Fibonacci 127 dan untuk mengetahui bentuk lilin jenis apa. Biasanya, palu berputar atau doji akan menjadi indikasi perubahan sentimen. oleh Trader profesional. Memainkan Odds Kombinasi DXY di peringkat ganda, EUR EUR mingguan pada perpanjangan Fibonacci 127 6, RSI sekitar 5 dan puncak berputar yang terbentuk pada bagan harian menunjukkan perdagangan potensial Gambar 4, di bawah An Order ditempatkan di pasar untuk pergi lama EUR USD jika pecah di atas tinggi puncak berputar pada 1 2015 dan, jika dieksekusi, stop loss order ditempatkan pada 1 1870. Risikonya adalah 140 pips Untuk setiap kontrak standar 100.000 nilai pip adalah 10 Oleh karena itu, nilai risiko dolar adalah 1.400 Risiko ini harus mewakili tidak lebih dari 2 modal perdagangan, yang berarti kita harus memiliki 70.000 ekuitas di rekening kita atau sebaliknya perdagangan kontrak mini yang lebih kecil. Pada charting, lihat Sekilas di Bagan Equilibrium. Gambar 4 Entry Point di Harian EUR USD Chart. Chart courtesy Wordon Brothers. Looking pada Gambar 4, EUR USD akan berlanjut ke 1 3200 sebelum ada tanda-tanda koreksi nyata atau perubahan potensial dalam tren. Diamati, dan opportu Nity untuk tetap dalam perdagangan atau bahkan menambahkannya sebagai harga menarik kembali ke garis bawah saluran ekuilibrium Perdagangan akan dipotong pendek oleh trailing stop di bawah saluran jika tingkat tersebut tercapai Atau, trailing stop bisa diatur Untuk memotong perdagangan hingga 50 dan membiarkan 50 sisanya tetap terbuka sepanjang perdagangan tetap menguntungkan. Nilai perdagangan ini sekitar 1.200 pips, yang untuk kontrak standar akan sama dengan 12.000 Rasio risiko terhadap upah adalah 1200 140 atau 8 57 kali, tentu layak untuk seekor harimau yang sabar Margin yang dibutuhkan untuk melakukan perdagangan ini kira-kira 1.200 ROI adalah 12.000 1.200 atau 1000. Perdagangan Harimau Garis Bawah bukan untuk mereka yang tidak memiliki kesabaran. Perlu untuk membiarkan pasar Datanglah kepada Anda daripada mengejar pasar karena takut kehilangan perdagangan Jika Anda melewatkan perdagangan, terhibur selalu ada kesempatan lain. Duduk dan tunggu dengan sabar, tapi ingat peribahasa tua, keberuntungan lebih menyukai pikiran yang dipersiapkan dengan baik. Untuk belajar Dari som E dari investor terbaik, lihatlah Kebijaksanaan Keuangan dari Tiga Orang Bijak. Mengapa Kami Dari teknologi terbaru untuk melindungi dana Anda, lihat mengapa kami menjadi mitra dagang terbaik. Resmi Pengesahan Admiral Markets UK Ltd diatur oleh Financial Conduct Authority di Inggris. Menghubungi Kami Tinggalkan umpan balik, ajukan pertanyaan, mampir ke kantor kami atau teleponlah kami. Berita Check out berita terbaru tentang perusahaan kami, acara, perdagangan condtion, perdagangan posisi. Gagasan di balik pendekatan ini adalah membuat lebih sedikit transaksi yang menghasilkan keuntungan individual yang lebih besar. Pedagang yang memanfaatkan strategi ini biasanya bertujuan untuk membuat setidaknya 200 pips per perdagangan, peluang mereka jauh lebih terbatas. Akibatnya, para pedagang yang menggunakan pendekatan ini memerlukan persiapan yang matang dan pengetahuan yang substansial. Strategi jangka panjang untuk perdagangan FX. Perdagangan istimewa mencontohkan bagaimana Untuk berdagang Forex jangka panjang Ini melibatkan identifikasi tren, lalu mengikutinya selama berminggu-minggu atau berbulan-bulan. Dalam beberapa kasus, trader mengikuti tren selama lebih dari setahun Wh Dalam menerapkan perdagangan Forex jangka panjang, beli berdasarkan harapan dan jual berdasarkan fakta. Sebagai contoh, spekulator seperti George Soros sangat korsletkan dengan pound Inggris pada tahun 1992 Mereka skeptis terhadap kemampuan Inggris untuk mempertahankan nilai tukar tetap pada saat negara tersebut. Menarik pound dari ERM 22 September 1992 dan Soros menghasilkan lebih dari 1 miliar pada kesepakatan tersebut. Jika Anda kembali mencari contoh strategi perdagangan mata uang jangka panjang yang lebih praktis, buka posisi long di GBP USD, berdasarkan keyakinan Anda. Bahwa pasangan mata uang akan mendorong lebih tinggi setelah pemilihan Inggris yang akan datang Setelah Anda mengetahui bagaimana pasangan mata uang bergerak pasca pemilihan, Anda dapat menutup posisi ini atau tetap terbuka. Ingatlah bahwa jika Anda menukar GBP USD, Anda harus mempertimbangkan ekonomi. Peristiwa tidak hanya di Inggris tetapi juga di AS Melakukan analisis menyeluruh terhadap ekonomi kedua mata uang dan pastikan untuk mengevaluasi potensi kejadian tak terduga. Informasi ini adalah semua yang Anda butuhkan untuk mengembangkan t Forex jangka panjang. Strategi pendaratan, tapi hei pendidikan lanjutan selalu merupakan ide bagus. Contoh strategi jangka panjang. Bagian sebelumnya memberikan beberapa informasi umum mengenai perdagangan Forex jangka panjang. Sekarang mari kita lihat strategi jangka panjang secara lebih rinci. Katakanlah Anda adalah trader Forex yang berbasis di AS dan beberapa peristiwa politik telah terjadi yang kemungkinan akan berdampak USD Dengan menggunakan informasi yang Anda miliki, Anda harus menganalisis di mana USD akan pergi. Jika Anda berpikir ada kemungkinan besar mata uang akan Bergerak sesuai dengan ramalan Anda, Anda dapat memulai strategi trading Forex jangka panjang dengan membuka posisi pasangan USD yang mencerminkan prediksi Anda. Namun sebelum melakukannya, Anda harus mempertimbangkan di mana mata uang kedua kemungkinan akan pergi Jika Anda ingin bersikap konservatif, Pilihlah kutipan di mana menurut Anda mata uang kedua akan memiliki tingkat stabilitas tertinggi. Misalnya, jika perkembangan yang mempengaruhi pasangan mata uang Anda terkait dengan Timur Tengah, analisis Anda mungkin mengungkapkan bahwa Jepang tidak memiliki kesepakatan perdagangan yang ketat. Dengan negara-negara di kawasan ini, dan JPY yen secara historis menikmati stabilitas. Informasi ini mungkin membawa Anda untuk berpikir bahwa pasangan yang tepat untuk perdagangan ini adalah USD JPY. Setelah Anda mengetahui hal ini, Anda harus memeriksa kembali harapan Anda. , Lalu mencantumkan semua kejadian plus yang diharapkan dan hasilnya Menutupi semua variabel ini adalah bagaimana Anda mengembangkan strategi perdagangan mata uang ini dan strategi perdagangan jangka panjang lainnya. Bagaimana perdagangan jangka panjang Forex. Ada beberapa tip yang dapat meningkatkan perdagangan FX Anda. Pemula, jangan biarkan emosi Anda mempengaruhi perdagangan Anda karena hal itu dapat benar-benar merusak kinerja Anda Mengubah kehilangan perdagangan menjadi kemenangan bisa menjadi tantangan, tapi juga sulit untuk menutup posisi di awal dan kehilangan potensi keuntungan. Tidak peduli apa Terjadi, berpegang pada strategi Anda. Setiap kali Anda membuka posisi, perkirakan di mana mata uang akan pergi dan seberapa besar pergerakan harga akan Anda juga harus memastikan bahwa setiap perdagangan memiliki target keuntungan dan Top-loss. Always telah mereka tahu sebelum Anda mulai menggunakan strategi Forex jangka panjang. Praktik terbaik trading jangka panjang. Meskipun setiap orang memiliki pendekatan perdagangan yang berbeda, ada beberapa panduan umum yang berlaku untuk sebagian besar pedagang posisi. Panduan ini adalah Terutama berdasarkan pada manajemen risiko dan sifat inheren pasar FX. Let s mengeksplorasi bagaimana mereka dapat meningkatkan strategi trading Anda.1 Gunakan leverage yang sangat kecil. Ketika melakukan trading posisi, Anda harus tetap berpegang pada volume yang membentuk persentase kecil dari margin One Anda. Pertimbangan utama Anda untuk perdagangan mata uang jangka panjang adalah memastikan Anda dapat dengan mudah mempertahankan volatilitas intraday atau bahkan intra minggu sebelumnya. Karena pasangan mata uang dapat dengan mudah memindahkan beberapa ratus pips dalam sehari, Anda harus memastikan fluktuasi harga ini menang. Memicu stop loss.2 Perhatikan Swap. Sementara trading Forex jangka panjang bisa menghasilkan pendapatan yang menjanjikan, yang sebenarnya penting adalah profit. Perhatikan juga swaps fee yang dibebankan untuk memegang posit. Kapsul semalam terkadang bisa positif Tapi dalam banyak kasus, mereka akan menjadi negatif terlepas dari arahannya, jadi mengevaluasi pengeluaran mereka sangat penting untuk membuat strategi Forex jangka panjang menguntungkan. Dalam beberapa kasus, Anda dapat menggunakan strategi di mana keuntungan pipinya kecil. Tapi Swap menguntungkan untuk Anda.3 Rasio vs Rasio usaha. Ingatlah bahwa bahkan dengan strategi terbaik, Anda mungkin tidak mencapai target keuntungan Anda Hal ini dapat terjadi dengan mudah jika Anda menggunakan terlalu sedikit leverage Jika Anda hanya melakukan perdagangan dengan sejumlah kecil Modal, Anda harus mengharapkan pengembalian proporsional. Karena ini, selalu mempertimbangkan jumlah waktu yang dihabiskan untuk trading dibandingkan dengan imbalan uang yang diterima. Dalam kebanyakan kasus, Anda harus menggunakan jumlah modal yang relatif besar untuk membuat usaha vs rasio pengembalian yang berharga A great Cara untuk mendapatkan rasa yang lebih baik tentang pengembalian yang akan Anda terima untuk waktu Anda tanpa mempertaruhkan modal Anda adalah dengan membuka akun demo. Tolong aktifkan JavaScript untuk melihat komentar yang didukung oleh Disqus. Risk warning Trading f Pertukaran oreign atau kontrak untuk perbedaan margin membawa tingkat risiko yang tinggi, dan mungkin tidak sesuai untuk semua investor Ada kemungkinan bahwa Anda dapat mempertahankan kerugian sama atau lebih besar dari keseluruhan investasi Anda Oleh karena itu, Anda seharusnya tidak menginvestasikan atau mempertaruhkan uang. Bahwa Anda tidak dapat kehilangan Anda harus memastikan Anda memahami semua risikonya Sebelum menggunakan layanan Admiral Markets UK Ltd, ingatlah risiko yang terkait dengan perdagangan. Isi dari Situs ini tidak boleh dianggap sebagai saran pribadi Admiral Markets UK Ltd merekomendasikan Anda untuk meminta saran. Dari penasihat keuangan independen. Admiral Markets UK Ltd dimiliki sepenuhnya oleh Admiral Markets Group AS Admiral Markets Group AS adalah perusahaan induk dan asetnya merupakan saham pengendali ekuitas di Admiral Markets AS dan anak perusahaannya, Admiral Markets UK Ltd dan Admiral Markets Pty Semua referensi di situs ini ke Admiral Markets mengacu pada Admiral Markets UK Ltd dan anak perusahaan Admiral Markets Group AS. Admiral Markets UK Ltd berwenang dan diatur oleh Financial Conduct Authority FCA Register No 595450.Admiral Markets UK Ltd terdaftar di Inggris dan Wales dibawah Companies House Registered Number 08171762 Alamat perusahaan 16 St Clare Street, London EC3N 1LQ, UK. Efektif Strategi Jangka Panjang. Setelah mengamati klien saya berdagang dan mengamati cara pasangan mata uang tertentu bersikap, semakin jelas bagi saya bahwa lebih mudah melakukan trading forex jangka panjang maka itu adalah perdagangannya dalam jangka pendek. Ada banyak alasan mengapa lebih mudah melakukan trading forex jangka panjang daripada short. Istilah di bawah ini hanya sedikit. Klik di sini untuk memesan salinan Tren VXX berikut Strategi hari ini dan jadilah salah satu pedagang pertama yang memanfaatkan strategi unik ini. Buku panduan ini akan membuat Anda menjadi trader yang lebih baik dan lebih hebat. Pertama lihat saja Grafik mingguan untuk pasangan mata uang apapun, terlihat jauh lebih mulus dengan kebisingan yang jauh lebih sedikit. Departemen riset kami telah menguji sistem pada frekuensi waktu intraday harian, mingguan, per jam dan lainnya yang lebih kecil dan saya T jelas bahwa semakin besar frekuensi pada grafik semakin baik kinerjanya Lebih mudah untuk menukar grafik yang lebih halus. Pasar juga cenderung panik dan bergerak drastis Biasanya setelah itu membeli program untuk institusi masuk dan memperbaikinya dan langkahnya berakhir. Menjadi hanya noise. Third pasar forex tidak diatur dan biasanya diperdagangkan dari pertukaran untuk pedagang eceran sehingga FCM s mampu spike pasar karena mereka mengambil risiko pada banyak perdagangan Dengan spiking pasar mereka dapat membuat banyak Dari pedagang yang telah berhenti dekat dengan kehilangan uang mereka ke FCM Ini adalah taktik yang digunakan oleh pembuat pasar Jika Anda trading jangka panjang, kemungkinan Anda jauh lebih kecil untuk longgar dalam situasi ini. Masalah besar lainnya adalah komisi Forex memiliki komisi yang sangat tinggi dibandingkan dengan Pasar lain Ini biasanya tergabung dalam penyebaran Jadi setiap kali Anda melakukan perdagangan Anda membayar 30 ke FCM Dengan berdagang jangka panjang Anda melakukan trading lebih sedikit dan dengan demikian tidak membayar sebanyak itu. Tren adalah Teman Anda. Salah satu yang hebat Properti yang ditawarkan oleh pasar forex adalah trennya yang hebat. Pada artikel ini saya akan berkonsentrasi terutama pada USD EUR. Hal ini terutama terlihat pada grafik kerangka waktu jangka panjang seperti mingguan dimana semua kebisingan harian dieliminasi. Berikut adalah contoh dari Bagan mingguan EUR USD dengan Trend Heikin-Ashi Lilin Heikin-Ashi Trend Candles adalah alat teknis hebat Jepang yang formula propertinya bermanfaat dalam menentukan tren alat ini tersedia dalam paket perangkat lunak yang ditawarkan perusahaan saya, jika Anda mau Ingin tahu lebih banyak tentang paket itu Anda bisa bergabung dengan seminar gratis yang mereka lakukan setiap hari Rabu pukul 9 malam EST dengan mengklik link ini. Lihatlah seberapa baik tren pasar selama periode 3 tahun ini dan seberapa baik Trend Trend Heikin-Ashi menangkap tren tersebut. Kunci untuk Trading Trend. Now karena Anda mungkin sudah tahu saya berkhotbah risiko dan pengelolaan uang dan ketika datang ke perdagangan tren tidak ada yang bisa lebih penting bahwa manajemen risiko dan uang Di detik berikutnya Saya akan menunjukkan strategi dasar untuk perdagangan tren Meskipun penarikan menjadi cukup tinggi karena periode whipsaw yang tak terelakkan ketika pasar tidak bergerak dalam perdagangan tren mungkin lebih mudah daripada yang Anda pikirkan Sekarang kualitas utama yang harus Anda miliki sebagai Trader tren adalah perut yang kuat, Anda benar-benar harus bisa duduk melalui penarikan dan terus melakukan perdagangan yang lebih banyak. Banyak trader sukses memperdagangkan tren yang saya yakin Anda tahu tentang Boston Red Sox, pemilik mereka John W Henry membuat banyak Perdagangan tren uangnya Contoh lain adalah pedagang kura-kura dan Richard Donkien. Position Size Control. Now pertama dan terutama sangat penting untuk mengendalikan ukuran posisi Anda saat memperdagangkan tren Ini adalah peraturan yang paling penting The whipsaws akan menjadi jahat dan akan menyebabkan Anda kehilangan sebagian besar akun Anda jika Anda melakukan trading besar-besar, belum lagi berdampak drastis pada Anda secara psikologis Banyak klien saya tidak menggunakan pemberhentian atau target atau benar-benar mengikuti teknik yang rumit. Analisis cal Apa yang mereka lakukan hanyalah berdagang ke arah tren keseluruhan, cobalah untuk berdagang ke arah SWAP untuk mengumpulkan bunga dan duduklah melalui penarikannya Jika mereka memiliki posisi besar, mereka dengan mudah dapat ditarik keluar dari perdagangan mereka. Secara teknis, hal itu Sangat sulit untuk menjaga diri Anda keluar dari pasar selama periode whipsaw Ini sebenarnya tidak mungkin menurut pendapat saya Sebagai pedagang Anda harus melakukan setiap perdagangan sistem yang Anda jual karena Anda tidak pernah tahu mana yang akan menjadi terobosan besar dari Periode yang telah Anda tunggu-tunggu sebagai trader tren Sekarang kunci dari sudut pandang manajemen risiko adalah memaksimalkan jumlah yang Anda buat pada tren dan meminimalkan jumlah yang Anda lepaskan di whipsaw di dalam wilayah sistem Anda. Ada sebuah Beberapa cara untuk melakukan ini Banyak trader lantai sukses yang terbiasa dengan piramida ke dalam perdagangan mereka berarti mengambil posisi dan daripada menambahkan porsi yang lebih kecil karena harga bergerak ke arah perdagangan mereka. Ini adalah strategi yang baik, saya per Secara mental ingin meningkatkan situasi ini berarti saya akan terus menambahkan ukuran yang sama ke posisi saya di setiap titik pemicu Sekarang taktik penting dalam masing-masing strategi ini adalah keluar dari keseluruhan posisi begitu Anda menerima sinyal keluar berdasarkan Aturan Anda Ini bisa menjadi sinyal teknis atau target keuntungan. Taktik tinju sangat sederhana dan diuji secara efektif oleh departemen penelitian kami Filter lainnya dapat ditambahkan ke taktik ini untuk memperbaikinya Salah satu sistem yang diajarkan dan diperdagangkan oleh perusahaan kami adalah Sebuah variasi dari strategi ini. Entri dan Keluar yang Lepas. Saat harga melewati di atas minggu-minggu sebelumnya. Tingkatkan posisi setiap kali harga di atas minggu sebelumnya tinggi Jangan masuk lebih dari satu kali per minggu jadi jika harga turun di bawah Minggu sebelumnya s tinggi dan salib kembali di atasnya tidak masuk. Keluar dari keseluruhan posisi long ketika harga melintasi di bawah minggu-minggu sebelumnya rendah. Jika minggu-minggu sebelumnya tinggi bukan tertinggi tertinggi dari yang tertentu. Bergerak jangan masuk trade. Short Entry dan Exit. Enter saat harga turun di bawah minggu sebelumnya. Menambah posisi setiap kali harga turun di bawah minggu-minggu sebelumnya rendah Jangan masuk lebih dari satu kali per minggu jadi jika harganya Melintasi di atas minggu sebelumnya s tinggi dan melintasi kembali di bawahnya tidak masuk. Keluar dari keseluruhan posisi pendek saat harga turun di bawah minggu-minggu sebelumnya. Jika minggu-minggu sebelumnya rendah bukanlah titik terendah pergerakan tertentu jangan memasuki perdagangan. . Jadi intinya dengan strategi ini Anda selalu dalam perdagangan ini karena Anda membalik posisi dan masuk dengan jumlah minimum jika perdagangan melintas di atas atau di bawah level kunci. Saya merekomendasikan memulai sistem ini dengan leverage 1 sampai 1 dan meningkatkan Ke dalam perdagangan pada setiap sinyal Dengan kata lain Anda harus menukar sistem ini dengan 1 lot mini per 10.000 di akun Anda. Pada contoh di bawah ini Anda akan memasukkan panjang dengan 1 unit posisi Anda setiap kali Anda melihat penunjuk dan keluar dan membalikkan tanda Ion saat Anda melihat jempol ke bawah. Strategi ini sangat sederhana dan efektif selama Anda mengelola penarikan dengan benar. Strategi ini adalah contoh bagaimana Anda dapat menggunakan parameter manajemen risiko untuk meningkatkan kinerja sistem perdagangan Anda. Saya akan merekomendasikan penggunaan filter tambahan. Seperti ATR, ADX, dan Volatility karena mereka membantu Anda mengukur kekuatan tren Jika Anda ingin mempelajari versi lanjutan dari sistem ini atau banyak sistem lain yang kami tawarkan, tolong hubungi saya di. Alexander Nekritin adalah trader profesional dengan Lebih dari 8 tahun pengalaman Spesialisnya meliputi manajemen risiko dan pengembangan sistem Alexander adalah CEO yang merupakan perusahaan perantara mengenalkan forex dan pendidikan yang membantu kebutuhan klien suite dalam perdagangan valas Alexander memiliki gelar dengan konsentrasi di Investment Banking dan instrumen derivatif dari Babson College di Massachusetts. Long Term Trading Strategy untuk Forex. Ada banyak alasan mengapa saya percaya bahwa tradin jangka panjang G membuat Anda sukses lebih daripada menggunakan kerangka waktu yang lebih kecil untuk diperdagangkan, dan saya akan membahas beberapa alasan di dalam artikel ini. Saya juga menuliskan beberapa alasan tersebut dengan nada yang lebih ringan dalam permainan Scalp vs Swing saya. Artikel yang mendapat banyak perhatian. Hal pertama yang ingin saya lakukan adalah mengklarifikasi bahwa ketika saya mengatakan Jangka Panjang, saya setidaknya tahu pada grafik harian saya percaya bahwa salah satu masalah besar dengan pedagang Forex saat ini adalah bahwa mereka Jadi terjebak dalam perdagangan jangka pendek dan scalping yang sekali lagi, saya benar-benar memiliki masa sulit untuk percaya bahwa pedagang dapat menguntungkan dengan, bahwa mereka bahkan tidak tahu apa itu perdagangan jangka panjang. Saya telah meminta banyak pedagang mengatakan hal seperti ini kepada saya. Saya ingin mulai melihat perdagangan jangka panjang karena scalping belum bekerja untuk saya. Saya sekarang menggunakan strategi jangka panjang, memperdagangkan grafik per jam. Lihatlah, menurut saya, pernyataan di atas adalah salah satu masalah dengan Pedagang Forex hari ini dan mengapa begitu banyak Memiliki banyak masalah yang menguntungkan. Bagi beberapa Alasannya, mayoritas pedagang terutama pemula begitu membungkuk pada scalping sehingga mereka bahkan tidak punya ide realistis tentang perdagangan jangka panjang apa sebenarnya aku kenal teman saya, Zaheer akan setuju dengan saya yang satu ini. Jadi lagi, ketika saya sedang berbicara Tentang Perdagangan Jangka Panjang, saya berbicara tentang menggunakan grafik Mingguan dan bahkan Bulanan sebagai panduan untuk menentukan potensi dan sasaran, dan kemudian, mungkin, menggunakan kerangka waktu yang lebih rendah untuk benar-benar menjalankan perdagangan dengan lebih presisi. Sebelum saya mendapatkan Menjadi strategi sebenarnya yang ingin saya bagikan dengan Anda, saya ingin menggali lebih dalam mengapa perspektif yang benar sangat penting dalam hal strategi perdagangan jangka panjang. Saya tahu bahwa banyak dari Anda hanya peduli dengan pedoman strategi sebenarnya, tapi saya percaya Bahwa informasi berikut tentang perspektif dan pendekatan holistik sebenarnya lebih penting daripada petunjuk strategi komentar di bawah ini jika Anda setuju tidak setuju dengan saya mengenai hal itu. Sebagai contoh bagaimana Pola Pikir Jangka Pendek ini dapat membawa Anda ke masalah, mari s tak Ea lihat EUR USD. Seseorang yang melihat EUR USD pada grafik 4HR akan melihat sesuatu seperti ini. EUR USD 4 HOUR CHART. Pada grafik di atas, Anda melihat ada banyak momentum bullish yang bergerak menuju high highs. Perspektif, sepertinya semua persiapan lanjutan bullish akan menjadi entri bagus, pandangan jangka panjang EUR USD pada waktu yang tepat sama akan menceritakan sebuah cerita yang berbeda. WEEKLY EUR USD CHART. Anda dapat melihat dengan melihat tabel Mingguan , Bahwa EUR USD berada dalam tren turun jangka panjang, dan bahwa rally bullish di grafik 4HR hanyalah pull-back daripada tren yang mengamuk seperti sebelumnya. Tidak hanya itu pullback, tapi ini adalah Pullback menuju perlawanan yang tidak disangka tidak terduga jika Anda hanya melihat 4HR dan tidak menyadari apa yang sedang terjadi dalam jangka panjang. Jika kita bergerak sedikit ke depan, Anda dapat melihat kondisi bearish yang memantul dari level resistance. Kepada trader hanya melihat Bagan 4HR, ini mungkin sangat bagus untuk dibeli lagi dalam antisipasi Bullish trend continuation. buy didirikan di eur usd. Apa yang mungkin tidak disadari oleh trader 4HR adalah bahwa ini bukan pullback dari tren 4HR, namun merupakan kelanjutan dari trend Weekly Jadi, dimana trader jangka panjang melihat potensi kelanjutan Bearish yang jelas. , Trader jangka pendek menganggap ini hanya pullback. Jadi ke trader 4HR, ini terlihat seperti pembalikan besar yang tidak terduga di pasar, tapi untuk trader jangka panjang, ini adalah kelanjutan yang jelas dan diharapkan dari arus pasar, terlihat seperti ini. Pada tampilan Mingguan. Ini adalah mengapa sangat penting untuk memiliki pandangan jangka panjang pasar TERUTAMA jika Anda akan menyebut diri Anda sebagai pedagang jangka panjang Sekali lagi, begitu banyak orang yang melihat grafik 4HR menganggap mereka adalah pedagang jangka panjang, namun Mereka mengabaikan kerangka waktu jangka panjang yang sebenarnya dan itu bisa membawa Anda ke masalah besar seperti di contoh kehidupan nyata Dua bar mingguan bearish yang Anda lihat akan menghancurkan seseorang yang mencoba mengambil posisi lama di grafik 4 Jam, namun hanya sebagian saja. Dari arus di Pandangan Mingguan. Sekarang, saya tidak mengatakan bahwa Anda tidak dapat melakukan perdagangan secara menguntungkan pada grafik 4HR Saya mengatakan bahwa sangat sulit untuk melakukan perdagangan yang menguntungkan secara konsisten bila Anda tidak memiliki perspektif yang baik mengenai pergerakan jangka panjang pasar terutama ketika mencoba Perdagangan kerangka waktu antara seperti frame waktu 1 atau 4 jam. Dengan mengatakan bahwa, mari kita bicara tentang strategi jangka panjang saya untuk pedagang yang ingin menjadi menguntungkan dan konsisten. Salah satu catatan utama tentang strategi ini adalah bahwa Anda harus disiplin jika Anda Ingin berhasil Ya, Anda perlu didisiplinkan dengan semua strategi untuk mengharapkan kesuksesan, namun secara khusus, jika Anda ingin menukar strategi jangka panjang secara efektif, Anda harus mengendalikan emosi dan keinginan Anda untuk masuk ke pasar. Salah satu kesalahan terbesar Yang membuat pedagang yang tidak menguntungkan adalah perdagangan yang berlebihan dan pengelolaan perdagangan mereka yang berlebihan. Sebagai manusia, kita memiliki keinginan untuk melakukan tindakan dan keterlibatan yang cenderung menyebabkan kita selalu ingin membuka perdagangan atau selalu ingin memanipulasi Perdagangan yang kita miliki terbuka, dan saya dapat menjanjikan kepada Anda bahwa ini hanya akan menghasilkan keuntungan yang kurang dan kurang. Jika Anda ingin sukses menggunakan strategi jangka panjang yang saya hadirkan kepada Anda, Anda harus menerima bahwa tidak akan ada Banyak masukan yang bagus, menurut pendapat saya dan tidak perlu ada terjun ke perdagangan terbuka dan mengelolanya. Begitulah cara kerja strategi.1 Lihatlah grafik Bulanan dan Mingguan. Tampak pada tren pada grafik jangka panjang ini yang memiliki momentum bagus dalam arah yang dihormati Sesuatu seperti ini. CHART TREND. Mengidentifikasi arah tren beruang atau banteng dan membuat catatan untuk hanya mencari masukan ke arah tren itu. Misalnya, jika itu adalah tren bullish, cari pembelian.2 Tingkatkan ke dalam Chart Harian dan tarik Retracement Fibonacci dari arus tinggi ke arus rendah atau sebaliknya. Berikut adalah cara menggambar Level Fib untuk yang tidak Ketahuilah.3 Carilah pullback pada kerangka waktu harian yang mendekati Grafik grafik harian 38 2, 50 0, atau 61 8 Fib Levels. usd cad daily. If harga mendekati satu dari tiga tingkat kunci utama, bersiaplah untuk membuat entri.4 Carilah Entry Candlestick setelah Level Fib teruji Tersentuh oleh harga. Begitu harga menyentuh level Fib mingguan, Anda sekarang menunggu mode sinyal. Dengan kata lain, kriteria telah berbaris untuk Anda buat untuk melakukan perdagangan, yang sekarang Anda butuhkan adalah sinyal untuk mengkonfirmasi perkiraan Anda. . Untuk strategi ini, sinyal adalah momentum bar harian ke arah tren jangka panjang kita. Lilin sinyal harian ideal akan memiliki ekor yang telah diuji menembus level Fib, namun kemudian berbalik kembali ke arah trend. test. Tingkat fib.5 Bawa Entry Tempatkan stop dan target Anda.6 Tunggu kemudian menang atau kalah. Sama seperti saya tunjukkan pada Anda di video di atas beberapa perdagangan menang dan beberapa lainnya kalah. Jangan mencoba untuk mengelola perdagangan atau bersikap mewah, hanya saja Percaya strategi dan membiarkan perdagangan menjadi pemenang atau pecundang Trading adalah tentang Matematika strategi yang baik memiliki pemenang Dan yang kalah, tapi di penghujung tahun, para pemenang mengalahkan orang-orang yang kalah. Mereka akan mengikuti strategi jika Anda mengikutinya dengan disiplin. Semoga kalian bisa belajar salah satu strategi jangka panjang favorit saya Silakan tinggalkan komentar dengan umpan balik apapun jika Anda berencana mencoba strategi atau komentar jika Anda membenci strategi itu. Bagaimanapun, saya sangat ingin mendapatkan umpan balik Anda. Wointners Edge Trading menawarkan penawaran diskon khusus untuk sistem perdagangan jangka panjang kami. Pelajari tentang hal ini di sini waktu terbatas PENAWARAN KHUSUS. Menikmati penulisan dan video tapi harus mengulanginya lagi beberapa kali karena saya adalah seorang pemula dan menggunakan jangka panjang untuk masa depan. Terima kasih atas informasinya, mereka sangat membantu dan menggairahkan. Menurut saya alasan mengapa kebanyakan orang mencoba kulit kepala. Apakah mereka diajari untuk takut pada pasar oleh guru yang mengalami kegagalan trading Saya setuju dengan Nathan, trader yang berada di sini untuk jangka panjang adalah data swing trader yang bisa digunakan diukur dalam volume bukan potongan selanjutnya untuk mendapatkan Masa lalu adalah membiarkan Perdagangan yang menguntungkan berjalan dan tidak begitu takut kehilangan Anda gagal memaksimalkan keuntungan satu nasihat yang saya berikan kepada setiap trader cukup belajar tentang Elliott Wave untuk membedakan perbedaan antara gelombang motif dan gelombang korektif dan begitu Anda melihat tanda kirim kisah Dari satu, tahu apa yang paling mungkin keluar dari langkah berikutnya itu menelusuri kembali atau pelarian, dan seberapa jauh diharapkan untuk melakukan perjalanan sehingga saya dapat mengatur target keuntungan tanpa pekerjaan menebak dan saya dapat mengatur berhenti yang hanya memicu ketika saya terbukti Menjadi salah trading semua orang Tim. Nathan, bagaimana Anda menghadapi tingkat swap dengan strategi jangka panjang ini. Saya melakukan perdagangan dengan cara ini tapi sering harus menutup perdagangan karena swap semalam Broker apa yang Anda gunakan Saya mencari broker Dengan tingkat swap yang kompetitif, saya tahu beberapa pasang memiliki nilai positif tapi saya tidak dapat mempertimbangkannya ketika melihat tren yang lebih lama. Terima kasih, Tom. Thanks Nathan Strategi yang mengagumkan Ini adalah strategi favorit saya Masalah saya adalah saya tidak memiliki kesabaran yang diperlukan yang harus dilakukan keuntungan Bisakah Anda menulis Trading adalah tentang Matematika? Strategi yang bagus memiliki pemenang dan pecundang, tapi di penghujung tahun, para pemenang mengalahkan orang-orang yang kalah. Dengan strategi ini, jika Anda mengikutinya dengan disiplin jika saya bisa menambahkan, DAN PATIENCE Great write-up Sangat menggembirakan Saya pasti akan kembali ke strategi ini di tahun 2014. Strategi yang sangat bagus, saya telah mencari strategi jangka panjang yang sederhana, ini akan membebaskan waktuku dan tetap mengizinkan saya untuk terlibat dalam perdagangan. Terima kasih banyak Banyak. Terima kasih untuk membaca Saya senang artikel ini dapat berfungsi sebagai informasi berguna untuk Anda Merasa bebas untuk posting ulang di sini nanti dan biarkan kami tahu bagaimana strategi Anda akan menggunakan kerangka waktu yang lebih lama ini. Terima kasih Louis, saya menghargai Anda Meluangkan waktu untuk membaca dan juga meninggalkan komentar Biarkan saya tahu bagaimana Anda menggunakan strategi ini. Joe Joe, terimakasih untuk komentar hebatnya, saya sangat menghargai Anda meluangkan waktu dan usaha untuk menambahkan nilai pada posting ini dengan sebuah komentar informatif yang bagus. Saya tidak percaya saya pernah mendengar apapun Saya menuliskan alasan untuk menggunakan grafik harian seperti yang Anda lakukan, dan itu sangat menarik Saya ingin belajar lebih banyak tentang strategi Anda, Mungkin Anda bisa menuliskan penjelasan bagus tentang hal itu seperti yang saya lakukan di artikel ini dan kami dapat mempostingnya. Di blog sebagai pos tamu oleh Anda, saya yakin pembaca kami akan senang mendapatkan perspektif Anda. Hi Nathan, saya setuju dengan kerangka waktu yang lebih lama dan khususnya berhari-hari tidak berjam-jam, beberapa menit atau minggu, diri saya hanya melakukan perdagangan dari grafik hari, dan ini Adalah alasan saya 1 Spread memakan sebagian besar perdagangan intraday sering 10 atau mungkin lebih 2 Broker bertindak melawan Anda dia kehilangan jika Anda menang, dan dia menang jika Anda kehilangan Ini adalah hasil bagus dari semua akun baru Sebuah transaksi Meja akan memberikan spread yang lebih rendah namun secara aktif membuat Anda kehilangan 3 Days adalah kerangka waktu alami untuk trading, dimana jam atau menit atau minggu adalah unit yang tidak sesuai 4 Lilin selalu dimaksudkan untuk berada pada hari sejak awal di Jepang begitulah cara mereka Mulai 5 hari berarti anda bisa merencanakan trading yang nyaman Pikirkan ini adalah alasan kuat untuk melakukan perdagangan dari grafik hari, jadi apa yang saya lakukan Joe PS Jika Anda tertarik, saya hanya mencari tren dan melompat pada saya menggunakan pasangan yang secara alami cenderung cenderung untuk jarak jauh seperti salib Euro antara lain. EURNZD dll Saya menggunakan MA8 dan MA12 Ketika MAs keduanya naik, dan angka 8 di atas 12, saya memasukkan entri panjang tepat di atas tertinggi terbaru yang saya ikuti sepanjang MA8 sampai BE, lalu sepanjang MA12 saat berhasil menangkap saya. Menaikkan berhenti di bawah lilin yang menunjukkan bahwa tren mungkin telah berakhir misalnya sebuah pin bar melawan perdagangan saya Jika tidak diambil, saya menunggu MA12 mengejar dan tetap mengikuti kebalikan dari semua ini untuk celana pendek Tidak ada tingkat fib yang digunakan Pretty Berhasil. Terima kasih untuk ini, saya telah mencoba beberapa ini pada grafik akhir-akhir ini dan memiliki beberapa keberhasilan, namun membutuhkan tingkat target ini untuk bekerja pada perdagangan jangka panjang Anda dengan sistem ini dengan memberi saran hasil di jalan. Terima kasih atas informasinya, saya berencana untuk Memulai tahun baru dengan kerangka waktu yang lebih lama dan saya akan pergi Gunakan grafik 4 jam Tapi sekarang saya akan melihat grafik mingguan dan harian lebih banyak lagi. OK NATHAN, ARTIKEL YANG BAIK. SEPERTI JANGKA PANJANG VS JANGKA PENDEK, MENJADI SUKSES BERADA DALAM MENEMUKAN APA YANG MENYENANGKAN KEHAMILAN ANDA KETIKA saya MEMULAI PERDAGANGAN UNTUK HIDUP I THOUGHT DAY PEDAGANG APAKAH KALI AKU MENJADI JANGKA PANJANG DAN HARUS DIBUAT BLEW UP 2 ACCOUNTS. THEN AKU MENUJU JANGKA PENDEK DAN MENEMUKAN SITUS YANG SAYA SANGAT BAIK SAYA LEBIH BAIK SEKARANG SAYA PERDAGANGAN SISTEM MENGGUNAKAN 1HR, 15 MIN, 5 MIN DAN 5 BARANG PIP RANGE BARAT AKU DISIPLIN TIDAK PASIEN SATU ADA HAL YANG DAPAT ANDA PILIH DAN PILIHAN KETIKA ANDA PERDAGANGAN, TETAPI ANDA BISA MENYUKAI APA YANG ANDA INGINKAN. Kuatkan barang bagus Tracy U seorang pria jujur yang baik Dibandingkan dengan semua crapp di arena Forex Kami menghargai Anda MERRY NATAL ALLAH BLESS. Hey Fabrice Seperti biasa, terima kasih banyak atas waktu dan usaha Anda untuk belajar dan apresiasi konstan Anda sangat berarti bagi kami Bagi saya, kandil pasti merupakan bagian penting dalam melihat tingkat Satu hal yang berbicara banyak kepada saya adalah ketika ada Saus berulang dari ca Ndle yang mencoba menembus tingkat harga tertentu namun terus ditolak Ini menunjukkan kepada saya bahwa harga telah membuat banyak usaha untuk beralih ke harga yang lebih tinggi atau lebih rendah namun terus terdorong oleh tingkat ketika ini terjadi selama berhari-hari dan berminggu-minggu ini lebih lama. Time frame, saya tahu bahwa ini adalah level penting yang besar Kemudian, apa yang saya lihat, adalah pasangan dengan tingkat yang lain Misalnya, jika tingkat horisontal utama juga sesuai dengan Fib dari ayunan baru-baru ini atau garis tren saat ini, Itu menambah nilai lebih pada tingkat harga Begitu saya dengan jelas mengidentifikasi tingkat penting ini, saya hanya menunggu aksi harga bereaksi terhadapnya dan kemudian mencoba untuk mengambil keuntungan dari reaksi Jika itu adalah garis tren dan kombinasi horizontal dan putaran harga keluar dengan benar. Pada tingkat dan mulai melanjutkan tren jangka panjang, saya pasti akan mencari untuk mengambil tren bahwa perdagangan kelanjutan karena ini adalah probabilitas tinggi masuk dan, yang terpenting, saya memiliki tingkat yang sangat besar untuk melindungi saya terhadap harga saham pric E akan melawan saya bahkan jika mencoba untuk bangkit dengan cara lain dan menguji kembali tingkat trendline fib atau apapun Bagi saya, candlesticks membantu saya melihat harga yang terbaik, tapi itu pasti tidak berarti mereka adalah satu-satunya cara untuk bertransaksi secara menguntungkan. Preferensi pribadi saya dan Anda juga harus memiliki pilihan Anda sendiri. Strategi yang sangat baik dan sederhana Akan mengadopsi yang satu ini. Nathan Nathan, Bagi saya, ini adalah hal yang sangat baik dengan tip dan kemampuan berharga seperti pergi DENGAN tren frame waktu yang lebih lama, tempat untuk berhenti - loss dan target, hindari masuk jika level major terlalu dekat dari awal, saya pasti akan memasukkan strategi itu ke dalam rencana trading saya. Apa yang saya sukai dari Anda dan Casey adalah kejujuran dan transparansi Anda tidak HANYA menunjukkan pemenang tapi dengan jelas mengatakan dan menunjukkan bahwa kita akan Longgar juga saya selalu kagum dengan kualitas artikel Anda dan pengetahuan yang sudah Anda miliki di usia muda Anda Seberapa baik Anda berada di usia 30 atau 40? Hanya satu pertanyaan yang sangat mendasar bagaimana Anda mendefinisikan dan mengenali tingkat tertinggi apakah Anda al Cara melihat grafik lilin hanya untuk menemukannya Terima kasih banyak atas semua usaha Anda dalam membantu kami melakukan trading dengan sebuah edge. Hi Zaheer, terima kasih telah membaca dan memberikan beberapa umpan balik. Mari saya sampaikan pertanyaan Anda.1 Pin bar ini sering terjadi, kira-kira 30 dari waktu yang saya katakan, karena sering kali harga bergerak sedikit melalui level utama sebelum berbalik kembali untuk menghormati level.2 Saya biasanya menggunakan risiko 5 per perdagangan, namun jika strategi pengelolaan perdagangan saya mencakup penambahan perdagangan, Maka saya akan menyesuaikan risikonya untuk memastikan bahwa saya tidak memiliki risiko lebih dari satu kali terbuka pada satu waktu.3 Dalam strategi ini, saya biasanya tidak akan menambah perdagangan jika terus berlanjut dalam arah tren yang lebih besar, karena my target is going to be too short to use that methodology In order to make the strategy as high probability as possible, I am only targeting the bounce to the next major level which is not normally going to be far enough away for me to begin adding positions in my favor.4 The pip gain on the bounce method changes drastically depending on the pair and the largeness of the swing that you are using the fib retracement on For instance, if the swing is several thousand pips like a massive run on the GBP NZD the distance between the fib levels which directly affects my stop and target will be much much different than a 500 pip swing on the EUR GBP. Hope the above answers your questions appropriately. Thanks again for reading and leaving a comment. Zamolxis Forex Robot. Are forex robots the holy grail Should we use forex robots or should we trade manually What strategies are the best How do we determine which forex robot is the best and what are the best ways to use it Under what conditions do they work Why most commercial robots fail Are backtests useless I m trying to answer these questions, but keep in mind that I m not interested in short term high gains I m aiming long term consistent profits, between 3-10 every month Quick profit involves a very high risk, this is one o f forex golden rules 30-40 per year is awesome considering the fact that the bank interest doesn t exceed 2-5 per year the most. Long story short My robot, Zamolxis has made a 128 profit during one year and 6 months period Which means.3,000 pips, an account growth of 4 7 per month This is near our target We could have set a different target higher profits , but high profits come with high risks and we can t accept that as we re aiming for long term profits. Here, at we treat forex as a business And before we start a business, any business, we need to know when exactly will get back our main investment. According to investopedia The yield is the income return on an investment, such as the interest or dividends received from holding a particular security The yield is usually expressed as an annual percentage rate based on the investment s cost, current market value or face value. For example, suppose we buy a nice house for 3,00,000 and rent it At the end of the year, we get a nice 21,000 re venue, which gives us an yield of nearly 7 per year After 14 years of renting, we finally recovered our main investment. On the other side, forex is a more lucrative business if treated as a business because the yield is much higher Zamolxis has an average yield of 35 60 per year which comes with a risk of 20 If you want to lower the risk to 2 , the profit is also reduced at 6 This is comparable to the situation we described above. For those of you who don t have the money or time to buy a house and rent it, we propose Zamolxis. But before diving into details, let s see how it works. What exactly a bayesian classifier does and how can this be applied to forex trading. I have written a very comprehensive article about bayesian filters, everyone can understand it, please check it out here. In machine learning, Bayes classifiers are a family of simple probabilistic classifiers based on applying Bayes theorem with strong independence assumptions between the features For example, a winning trade is strongly correlated with certain factors like volatility, pivot points, the difference between previous high and low and so on My initial approach was to gather as many inputs as I can coming for any forex robots I could find on the market including the ones I myself created, please see the My forex robots portfolio section The general assumption was that, no matter what strategy the robot uses, trend, pullback, scalper, countertrend , a winning trade can be statistically identified For example, trading around support and resistance points has a higher success probability compared to simply trading blind If you add an extra filter, like volatility, the success probability increases But the main problem is that the market is dynamic, the trading conditions always changes Today is a good day for scalping, tomorrow might be a food day for trend followers, next week might be a great week for grid trading We already know that optimizing the robot is not the answer because we are always o ne step behind the market. Tu put it simply, a bayesian filter calculates the probability of success based on several factors like support and resistance points and if the probability is good enough, a trade is being opened My forex robot, called Zamolxis is a mixture of bayesian filters and perceptrons sometimes neural network classifiers work better under certain circumstances and this robot uses both. I have spent an entire year trying to gather as much data as possible in order to feed the neural networks and bayesian filters Then, I let them learn and classify the market conditions all by themselves, no optimization was performed It survived in the wild without any optimization or tweaking The purpose was merely survival and learning, without any kind of trade filtering whatsoever, not the profit Now, the test is over and it s time to see the results This time, the robot is fully trained and ready to make money You can see the results here live account. My own demo forward test here. How does Zamolxis work. At first, it was a complete mystery to me why all forex robots fail in spite of such great backtests The answer is simple the market changes and it doesn t always follow past conditions You have to face many months and years of drawdown before you see the light at the end of the tunnel again What is my solution to this problem The approach is different First of all, I don t care about the drawdown anymore The lot gets increased after 3 or more losses and the robot recovers fast, the only thing I care is to keep a lower losing streak, in my case, no more than 7 losses in a row. This is not martingale, it s position sizing. The recovery function has nothing to do with martingale Martingale involves opening multiple positions while doubling the lot size and keeping them open until the all are closed for a profit or the account gets blown This is the fastest way to lose the account. My recovery function doesn t involve martingale, but position sizing, which is a very di fferent thing Zamolxis opens one position at a time. No system is highly profitable on the long run unless it is using some sort of recovery function or position sizing Zamolxis wins 51 of the trades considering the fact that take profit is always higher than stop loss It is profitable even without any recovery function but the profit is low Besides, nobody has the time to wait for years of drawdown, we already know that from our past adventures with forex robots That s why I created a realistic recovery function. I have backtested the robot from 2009 to 2016, saved all winning settings, then backtested it against unseen data, from 2003 to 2009 If the losing streak and drawdown doesn t change than I considered that setting to be a valid one and discarded the rest If the losing streak gets higher than 6, the strategy gets invalidated by the market changes and the robot has to be retrained Please note that this is not the holy grail, there is no such thing, it s just a trading tool. At the close of every bar, the market conditions are analyzed and classified with a bayesian filter and a neural network If the feedback is similar, the robot opens a trade Take profit is usually higher than stop loss, making the robot more reliable and trustworthy. It runs on multiple currencies, the supported currencies are EURUSD H1 , AUDUSD H1 , GBPUSD H1 , EURJPY H1 and USDJPY M30.It has a solid recovery function, the lot gets increased after 3 or more consecutive losses A very fast recovery is expected. Sometimes is trades every signal, sometimes it doesn t After a more careful analysis I reached the conclusion that sometimes, under certain conditions opening at every signal is a bad thing to do Why Suppose we re talking about a forex robot that opens a trade every time the current candle closes above bellow a moving average When a violent trend occurs many trades are being opened and if a more violent reversal occurs then we re out It s wiser to analyze the market conditions before start ing to open more than one trade in the same direction for the same strategy. Is a very and I mean very frequent trader, you won t get bored watching it. Pattern validation. If the market suffers major changes, the pattern is no longer valid and the robot should be retrained in order to learn the new market patterns. As I said before, it was a complete mystery to me why 99 of forex robots fail in spite of such great backtests One possible answer to this question is over-optimization curve fitting The forex robot is optimized from 2000 to 2016 and only the best looking equity curve is selected This is terribly wrong because that nice looking equity curve is only an accident that doesn t repeat so often in real trading Therefore, as a consequence, the robot fails a few month after the launch. A second possible answer is that the market changes to some degree and the strategy no longer works until the market changes in our favor again. My approach is different Stop loss is smaller than Take Prof it and no more than 6-7 losing trades in a row are allowed The recovery function makes sure that we are in profit all the time. I trained the robot from 2009 to 2016 and then tested it against unseen data, from 2003 to 2009 If the number of consecutive losses in a row doesn t change, then the pattern is solid enough. If the number of allowed losses is exceeded, then the market changed and the robot should be retrained. How recovery function works. The way this robot is designed is very important I need to know if the backtests are valid or not, this is the main problem of all forex robots. Optimizing the wrong way 99 of forex robot vendors are doing it, intentionally or not. The robot is optimized for the whole testing period, for example between 2000 and 2016 It selects only the best trades, the equity curve looks nice, everything is fine, then after a few months, it bites the dust At first, as I stated before it was a complete mystery to me why Then I realized that the market does not beha ve according to our backtests, the conditions change and therefore the pattern is broken The second important thing is that backtesting this way there is no checking procedure How can we tell if the backtest is valid or not We can t. Optimizing the right way. The robot is optimized using data between 2003 and 2009 Then, the robot is tested against unseen data, between 2009 and 2016 If the drawdown length, drawdown depth and number of consecutive losses remains the same, then the strategy is valid This is our main assumption. What is new in the current version v30.1 Trailing stop We don t want to lose the profits entirely if the market turns against us, especially when the traded lot size is bigger, therefore the robot has not the ability to decide when the trailling stop should be activated If the market goes in our favor, we can follow it and win big.2 Lot increment algorithm has been changed Suppose the starting lot is 0 1, then the lot increment goes as follows. If the 7th trade is lost , then the next lot size equals initial lot of 0 1 and the cycle continues If you lose a 7 trades cycle which never happened during 10 years of backtests , you lose 20 of your account, which will be recovered in no more than 3-4 months Awesome, right. However, thanks to the trailing stop function we added, if the lot size of a trade is 0 1 the initial lot size and the profit for that trade is higher than the initial tp, the lot size doesn t increment even if the next 3 trades are lost Why Because we are still in profit overall and we can afford to take one more loss or more with lot 0 1 initial lot Now we can win big if the market goes our way and we can take many future losses without the need to increment the lot size. To put it simple, the lot size rarely increases And this is a huge step forward because the risk is highly reduced.3 Multi currency trader without additional controller If for trades trades we have a profit of pips pips, the lot size doesn t get incremented For example, if trades 20 and pips 200, it means that for the last 20 trades all currencies we have a total profit of 200 pips We are satisfied with it and we don t see the point of increasing the next lot size even if the last trade has ended with a loss.4 Protection against stop loss hunting As much as we like to hide the sl and tp levels from brokers, is very unsafe to do it because the market may turn violently against us wiping up the account sl and tp remains in place, but there is an additional hidden function which does exactly that if the broker doesn t close the trade for profit even if tp is in place, the function activates and closes the trade.5 You can now close the trades manually for loss or profit You could have done it in the previous version also, but now all bugs have been fixed.6 The core algorithm has been reoptimized Neural networks and bayesian filters has been improved, the main purpose is to reduce the risk of ruin.7 New tp and sl setting feature In the previous version, th e sl and tp levels are not set when opening a trade, the trade is modified right after opening with the desired sl and tp levels Now you could activate the function which enables you to set tp and sl when opening a trade A rather useless function you may say, but some clients reported that this is the only way Zamolxis works on their broker, by setting tp and sl when opening a trade, not after.8 Please welcome to our new pair EURJPY. If you ask me, I think I succeeded in getting the best out of forex robot trading This page will serve as inspiration source for many forex robot vendors, but it s ok. So, is it more profitable than the previous version v20 Short answer is no, the overall profit is almost the same, but the safety is highly improved, the risk has been greatly reduced Please take a look at this picture, it s a comparison between the previous version and the current one. Let s take USDJPY for example Version 2 0 produces a profit of 145 18 and only 1532 pips Version 3 0 produces a profit of 102 15 and 3410 pips Which means the version s 2 0 higher profitability comes from a large number of increased lots which leads to a much larger risk See the difference. Let s see how it trades in the wild, how profits are protected in version 3 0.Thanks to our trailing stop function we added, sometimes when the market conditions are appropriate, you only risk 8 pips in order to get 82.Now, take a look at both forward tests The new version produced 1600 pips within 2 months while the previous one produced 3000 pips within 18 months The profitability is now focused on individual trades instead of just increasing lots This is a huge step forward. Overall profitability, if all pairs are traded in portfolio, is the same All years are profitable. Portfolio EURUSD, AUDUSD, GBPUSD, EURJPY, USDJPY. When I designed this system I had the followings in mind. I don t have the patience to suffer many years of drawdown Ok, I m finally admitting it, I m not a patient man even if I m doing all my best to become one But leaving aside my lack of patience, what s the point of waiting 2-3 years without even being certain of further recovery So, I m not willing to wait for recovery more than 3 months, the most The portfolio analysis shows a maximum drawdown period of 70 days, but in real life trading I m sure that it will be extended to 3-4 months Ok, so no more than 4 months without profit Please take a look at my former portfolio, for example read this post the main problem is the drawdown length Without a nice recovery function, you are doomed to wait for a hypothetical recovery for years. Drawdown depth should be no more than 25 of my account, the most I m willing to take such a risk if the recovery is fast Portfolio analysis shows a maximum drawdown of 15 but as I said before, real trading conditions are different and I m expecting a 25 drawdown. I have to know exactly when the strategy becomes invalid and when the robot should be retrained. Is the profit guaranteed. No, of cou rse not, aren t you tired of being scammed Nobody can guarantee the profit, no one can foresee the future and market changes All we can do is try our best according to our current knowledge of math, programming and statistics. Zamolxis Tradind System. Long Term Trading Strategy for Forex. There are a lot of reasons why I believe that longer term trading sets you up for success more so than using smaller time frames to trade, and I will get into several of those reasons within this article. I also lay out a few of those reasons in a more light-hearted tone in my Scalp vs Swing Article which has gotten a lot of attention. The first thing I want to do is clarify that when I say Long Term I am meaning at least looking on the daily charts I believe that one of the big issues with Forex traders today is that they are so caught up in short-term trading and scalping which again, I really do have a hard time believing traders can be profitable with , that they don t even recognize what long term tra ding is. I have had many traders say something like this to me I want to begin looking at long term trading because scalping has not worked for me I am now using a long term strategy, trading the hourly charts. See, I think the above statement is one of the issues with Forex Traders today and why so many have a lot of trouble being profitable. For some reason, the majority of traders especially beginners are so bent on scalping that they don t even have a realistic idea of what long term trading really is I know my friend, Zaheer will agree with me on this one. So again, when I am talking about Long Term Trading, I am talking about using the Weekly charts and even the Monthly as your guide for set-up potential and targets, and then, perhaps, using a lower time frame to actually execute the trade for more precision. Before I get into the actual strategy I want to share with you, I want dig a little more into why the right perspective is so important when it comes to trading long term strateg ies I know that many of you only care about the actual strategy guidelines, but I believe that the following information about perspective and a holistic approach is actually more important than the strategy guidelines comment below if you agree disagree with me on that. As an example of how this Short Term Mindset can get you into trouble, let s take a look at the EUR USD. Someone looking at the EUR USD on a 4HR chart would see something like this. EUR USD 4 HOUR CHART. In the above chart, you see that there is a lot of bullish momentum moving toward higher highs From this perspective, it looks as though all bullish continuation set-ups will be great entries however, a longer term view of the EUR USD at the same exact time tells a different story. WEEKLY EUR USD CHART. You can see by looking at the Weekly chart, that the EUR USD is in a long term down trend, and that the bullish rally on the 4HR chart is just a pull-back rather than a raging trend as it appeared before. Not only is it only a pullback, but it is a pullback heading into unsuspected resistance unsuspected if you only look at the 4HR and don t realize what is going on long term. If we move a little bit ahead in time, you can see a bearish bounce off the resistance level To the trader viewing only the 4HR chart, this may look like a great time to buy again in anticipation of Bullish trend continuation. buy set up on eur usd. What the 4HR trader may not realize is that this is not a pullback of the 4HR trend, but rather a continuation of the Weekly trend So, where the long term trader sees obvious Bearish continuation potential, the short term trader thinks this is just a pullback. So to the 4HR trader, this looks like an unexpected major reversal in the market, but to a long term trader, it is an obvious and expected continuation of market flow, looking like this on the Weekly view. This is why it is so important to have a long term view of the market ESPECIALLY if you are going to call yourself a long term trader Again, so many people looking at 4HR charts think they are long term traders, but they are ignoring the real long term time frames and that can get you into big trouble just like in this real life example Those two bearish weekly bars you see would crush someone trying to take long positions on the 4 Hour chart, yet they are just part of the flow on the Weekly view. Now, I am not saying that you cannot trade profitably on the 4HR charts I am saying that it is very difficult to make consistently profitable trades when you do not have a good perspective of the markets longer term movement especially when trying to trade an intermediate time frame like the 1 or 4 hour time frames. With that said, let s talk about my long term strategy for traders who want to be profitable and consistent. One major note about this strategy is that you must be disciplined if you want to succeed Yes, you need to be disciplined with all strategies to expect success, but in particular, if you want to trade a long term strategy effectively, you must control your emotions and desire to get into the market. One of the biggest mistakes that unprofitable traders make is over-trading and over-managing their trades As human beings, we have the desire for action and involvement which tends to cause us to always want to have a trade open or always want to manipulate the trades we do have open, and I can promise you that this will only lead to less and less profitability. If you want to be successful using the long term strategy that I am presenting to you, you must accept that there will not be a ton of entries which is a good thing, in my opinion and that there will not be a need to jump in to the open trade and manage it. Here is how the strategy works.1 T ake a look at the Monthly and Weekly charts. Looks for trends on these longer term charts that have good momentum in the respected direction Something like this. WEEKLY CHART OF TREND. Identify the direction of the trend bear or bull and make a note to o nly look for entries in the direction of that trend for instance, if it is a bullish trend, look for buys.2 Zoom into the Daily Chart and draw a Fibonacci Retracement from the current high to current low or the other way around. Here is how to draw a Fib Level for those that don t know.3 Look for pullbacks on the Daily time frame that are approaching the 38 2, 50 0, or 61 8 Fib Levels. usd cad daily forex chart. If price is getting close to one of those 3 key fib levels, be prepared to make an entry.4 Look for Candlestick Entry after Fib Level is Tested touched by Price. As soon as price touches a weekly Fib level, you are now in the waiting for signal mode In other words, the criteria has lined up for you to make a trade, now all you need is the signal to confirm your forecast. For this strategy, the signal is a momentum daily bar in the direction of our long term trend An ideal daily signal candle will have a tail that has tested pierced through the Fib level, but then reversed back into the direction of the trend. test of fib level.5 Take the Entry Place your stop and target.6 th Wait then win or lose. Just like I showed you in the video above some trades win and some lose. Don t try to manage the trade or get fancy, just trust the strategy and let the trade be a winner or a loser Trading is all about Math a good strategy has winners and losers, but at the end of the year, the winners out-weigh the loser They will in the strategy if you follow it with discipline. Hope you guys enjoyed learning one of my favorite long term strategies Please leave a comment with any feedbackment if you plan on trying the strategy or comment if you hate the strategy. Either way, I d love to get your feedback. Winners Edge Trading is offering a special discounted offer to our long term trading system Learn about it here limited-time SPECIAL OFFER. Enjoyed the writing and video s but will have to go over it again a few times as I am a newbie and using longterm for the fist time Thank you for the information, they are helpful and exciting. I think the reason most people try to scalp is they are taught to be scared of the market by teachers that are trading failures I agree with Nathan, the trader that is here for the long term is a swing trader data that can be used is measured in volumes instead of snippets next thing to get past is letting a profitable trade run and not being so scared of a loss you fail to maximize profits one piece of advice I would give every trader is learn enough about Elliott Wave to distinguish the difference between motive waves and corrective waves and once you see the tell tale sign of one, know what the most likely out come of the next move it a retrace or breakout, and how far is it expected to travel so I can set profit targets with no guess work and I can set stops that only trigger when I am proved to be wrong trading everyone Tim. Nathan, how do you deal with the swap rates with this longer term strategy. I trade this way but often have to close a trade due to the overnight swaps What broker do you use I am looking for a broker with competitive swap rates, I know some pairs have a positive value but I cant consider that when looking at the longer trends Thanks, Tom. Thanks Nathan An awesome strategy It is my favourite strategy My problem is I lack the necessary patience it needs to be profitable You wrote Trading is all about Math a good strategy has winners and losers, but at the end of the year, the winners out-weigh the losers They will, in the strategy, if you follow it with discipline if I may add, AND PATIENCE Great write-up Very encouraging I am definitely going back to this strategy in 2014.Excellent strategy, I have been looking for a good simple long term strategy, this will free up my time and still allow me to be involved in trading Thanks very much. Thanks for reading I am glad this article may serve as a useful piece of information for you Feel free to re-post here later on and let us know how your strategy is going using these longer time frames. Thanks Louis, I appreciate you taking the time to read and also leaving a comment Let me know how you do using this strategy. Hey Joe, thanks for the great comment, I really appreciate you putting the time and effort into adding value to this post with a great, informative comment I don t believe I have ever heard anyone lay out the reasons for using the daily chart as you did, and that is very interesting I would love to learn more about your strategy, Perhaps you could write out a nice explanation of it like I did in this article and we could post it on the blog as a guest post by you I am sure our readers would love to get your perspective. Hi Nathan, I agree with longer time frames and specifically days not hours, minutes or weeks I my self only trade off day charts, and these are my reasons 1 Spread eats up a large part of an intraday trade often 10 or maybe more 2 The broker is acting against you he loses if you win, and he wins if you lose This is i n the fine print of all new accounts A dealing desk will give lower spreads but will actively make you lose 3 Days are the natural time frame for trading, where as hours or minutes or weeks are arbitrary units 4 Candles were always meant to be on days from the earliest time in Japan this is how they started 5 Days means you can plan trades at ease I think these are compelling reasons to trade from day charts, so that s what I do Joe PS If you are interested, I just look for trends and jump on I use pairs that naturally tend to trend for long distances such as the Euro crosses among others EURNZD etc I use MA8 and MA12 When the MAs are both rising, and the 8 is above the 12, I put a long entry just above the most recent high I trail along the MA8 until BE, then along the MA12 when it catches up I raise the stop to below a candle that suggests the trend may have ended eg a pin bar against my trade If it isn t taken out I wait for the MA12 to catch up and keep trailing the opposite of all this for shorts No fib levels used Pretty successful. Thanks for this, I have tried this some on dly hrly charts and had some success, but needed these s l target levels to work on your longterm trades with this system with advise outcome down the road. Thanks for the information, I plan to start the new year with longer time frames and I was going to use 4 hour charts But now I will look at weekly and daily charts more. HEY NATHAN, GOOD ARTICLE. AS FAR AS LONG TERM VS SHORT TERM, BEING SUCCESSFUL IS ABOUT FINDING WHAT SUITS YOUR PERSONALITY WHEN I STARTED TRADING FOR A LIVING I THOUGHT DAY TRADERS WERE NUTS I TRADED LONG TERM AND GOT KILLED BLEW UP 2 ACCOUNTS. THEN I TRIED SHORT TERM AND FOUND IT SUITED MY PERSONALITY WAY BETTER NOW I TRADE SYSTEMS USING 1HR, 15 MIN, 5 MIN AND 5 PIP RANGE BARS I AM A DISCIPLINED BUT NOT A PATIENT ONE THERE ARE THINGS YOU CAN PICK AND CHOOSE WHEN YOU TRADE, BUT YOU CAN T IGNORE WHAT YOU ARE. Pretty good stuff Tracy U a good honest Guy Compared to all the cra pp out there in the Forex arena We appreciate u MERRY CHRISTMAS GOD BLESS. Hey Fabrice As always, thanks so much for your time and effort into learning and your constant appreciation it means a lot to us For me, candlesticks are definitely an important part of seeing levels One thing that speaks volumes to me are when there are repeated wicks of a candle that tried to pierce through a certain price level but continued to get rejected This shows me that price has made multiple attempts to move to a higher or lower price but kept getting pushed back by the level When this happens over days and weeks on these longer time frames, I know that this is a big, important level Then, what I look to do, is pair that with another level For instance, if the major horizontal level also corresponds with a Fib from a recent swing or a current trend line, that adds even more value to the price level Once I clearly identify these important levels, I just wait for price action to react to them and then at tempt to take advantage of the reaction If it is a trend line and horizontal combination and price rounds out right at the level and begins to continue the long term trend, I will certainly be looking to take that trend continuation trade because it is a high probability entry and, most importantly, I have very major level to protect me against price going against me even if it is trying to bounce the other way and retest the trendline level fib or whatever For me, candlesticks help me see price the best, but that definitely does not mean they are the only way to trade profitably it is just my personal preference and you should have your own preference too. Excellent and simple strategy Will be adopting this one. Hi Nathan, To me, this is excellent stuff with precious tips and avices like going WITH the longer time frames trend, where to put stop-loss and target, avoiding entry if major level is too close from entry, I will definitely put that strategy into my trading plan What I love wi th you and Casey is your honesty and transparency not ONLY showing winners but clearly saying and showing that we will loose too I am always amazed with the quality of your articles and the knowledge you already have at your young age How good wil you be at 30 or 40 Just one very basic question how do you define and recognize a major level do you always look at candle charts only to spot it Thanks so much for all your efforts in helping us trading with an edge. Hi Zaheer, thanks for reading and leaving some feedback. Let me address your questions.1 This pin bar occurs pretty often, about 30 of the time I d say, because often times price moves slightly through the major level before reversing back to respect the level.2 I typically use a risk of 5 per trade, but if my trade management strategy includes potentially adding to the trade, then I would adjust the risk to make sure that I don t have risk of more than 1 open at one time.3 In this strategy, I am not typically going to add to the trade if it does continue in the larger trend direction, because my target is going to be too short to use that methodology In order to make the strategy as high probability as possible, I am only targeting the bounce to the next major level which is not normally going to be far enough away for me to begin adding positions in my favor.4 The pip gain on the bounce method changes drastically depending on the pair and the largeness of the swing that you are using the fib retracement on For instance, if the swing is several thousand pips like a massive run on the GBP NZD the distance between the fib levels which directly affects my stop and target will be much much different than a 500 pip swing on the EUR GBP. Hope the above answers your questions appropriately. Thanks again for reading and leaving a comment. Why Us From the latest technology to protecting your funds, see why we re the best trading partner. Regulatory Authorisation Admiral Markets UK Ltd is regulated by the Financial Conduct Authority in UK. Contact Us Leave feedback, ask questions, drop by our office or simply call us. News Check out most recent news about our company, events, trading condtions positional trading. The idea behind this approach is making fewer transactions that produce larger individual gains While traders harnessing this strategy usually aim to make at least 200 pips per trade, their opportunities are far more limited. As a result, traders who use this approach require thorough preparation and substantial knowledge. Long-term strategies for trading FX. Positional trading exemplifies how to trade Forex long-term It involves identifying a trend, then following it for weeks or months. In some cases, traders have followed a trend for over a year When applying long-term Forex trading, buy based on expectations and sell based on facts. For example, speculators like George Soros heavily shorted the British pound in 1992 They were skeptical of the UK s ability to maintain fixed exchange rates at the time The country pulled the pound from the ERM 22 September 1992 and Soros made more than 1 billion on the deal. If you re seeking a more practical example of a long-term currency trading strategy, open a long position on the GBP USD, based on your belief that the currency pair will push higher after the upcoming British election Once you find out how the currency pair moves post-election, you can either close this position or keep it open. Keep in mind that if you trade the GBP USD you should consider economic events not only in the UK but also in the US Conduct thorough analysis on the economies of the two currencies and be sure to evaluate the potential for unforeseen events. This information is all you need to develop a long-term Forex trading strategy, but hey further education is always a good idea. A long-term strategy example. The previous section provided some general information on trading Forex long-term Now let s look at a long-term strategy in greater detail. Let s say you are a For ex trader based in the US and some political events have taken place that will likely impact USD Using the information you have at your disposal, you should analyse where the USD will go. If you think there is a good chance the currency will move in line with your forecast, you can begin your long-term Forex trading strategy by opening a USD pair position that reflects your prediction. But before doing so, you should consider where the second currency will likely go If you want to be conservative, pick a quote where you think the second currency will have the highest amount of stability. For example, if the developments affecting your currency pair are tied to the Middle East, your analysis might reveal that Japan lacks tight trade agreements with countries in the region, and the Japanese yen JPY has historically enjoyed stability. This information might lead you to think that the perfect pair for this trade would be the USD JPY. Once you figure this out, you should double-check your expect ations, then list all known plus expected events and their outcomes Covering all these variables is how you develop this and any other long-term currency trading strategy. How to trade Forex long-term. There are several tips that can enhance your FX trading. For starters, don t let your emotions affect your trading because they can seriously undermine your performance Turning losing trades into winning ones can be a challenge, but it can also be difficult to close a position out early and lose out on potential gains. No matter what happens, stick to your strategy. Every time you open a position, predict where the currency will go and how large the price movement will be You must also ensure that every trade has both a profit target and a stop-loss. Always have them figured out before you start using a long-term Forex strategy. Long-term trading best practices. While everyone has a different approach to trading, there are some general guidelines that apply to most positional traders These guide lines are based primarily on risk management and the FX market s inherent nature. Let s explore how they might enhance your trading strategies.1 Use very small leverage. When doing positional trading, you should stick to volumes that make up a small percentage of your margin One of your major considerations for long-term currency trading is ensuring you can easily sustain any common intraday or even intra-week volatility. Since a currency pair can easily move a few hundred pips in a day, you should make sure these price fluctuations won t trigger a stop-loss.2 Pay attention to Swaps. While trading Forex long-term can generate promising revenues, what really matters is profit. Pay close attention to swaps the fee charged for holding a position overnight Swaps can sometimes be positive But in many cases, they will be negative regardless of direction, so evaluating their expenses is crucial to making long-term Forex strategies profitable. In some cases, you can use a strategy where the pip gain is small but the Swap is favourable for you.3 Effort vs return ratio. Keep in mind that even with the best strategy, you may not reach your profit target This could easily happen if you use too little leverage If you only trade with a small amount of capital, you should expect proportionate returns. Because of this, always consider the amount of time spent on trading compared to the monetary rewards received. In most cases, you should use relatively large amounts of capital to make the effort vs return ratio worthwhile A great way to get a better sense of what return you will receive for your time without risking your capital is to open a demo account. Please enable JavaScript to view the comments powered by Disqus. Risk warning Trading foreign exchange or contracts for differences on margin carries a high level of risk, and may not be suitable for all investors There is a possibility that you may sustain a loss equal to or greater than your entire investment Therefore, you should not inve st or risk money that you cannot afford to lose You should ensure you understand all of the risks Before using Admiral Markets UK Ltd services please acknowledge the risks associated with trading. The content of this Website must not be construed as personal advice Admiral Markets UK Ltd recommends you seek advice from an independent financial advisor. Admiral Markets UK Ltd is fully owned by Admiral Markets Group AS Admiral Markets Group AS is a holding company and its assets are a controlling equity interest in Admiral Markets AS and its subsidiaries, Admiral Markets UK Ltd and Admiral Markets Pty. All references on this site to Admiral Markets refer to Admiral Markets UK Ltd and subsidiaries of Admiral Markets Group AS. Admiral Markets UK Ltd is authorised and regulated by the Financial Conduct Authority FCA Register No 595450.Admiral Markets UK Ltd is registered in England and Wales under Companies House Registered Number 08171762 Company address 16 St Clare Street, London EC3N 1LQ, UK. Zamolxis Forex Robot. Are forex robots the holy grail Should we use forex robots or should we trade manually What strategies are the best How do we determine which forex robot is the best and what are the best ways to use it Under what conditions do they work Why most commercial robots fail Are backtests useless I m trying to answer these questions, but keep in mind that I m not interested in short term high gains I m aiming long term consistent profits, between 3-10 every month Quick profit involves a very high risk, this is one of forex golden rules 30-40 per year is awesome considering the fact that the bank interest doesn t exceed 2-5 per year the most. Long story short My robot, Zamolxis has made a 128 profit during one year and 6 months period Which means.3,000 pips, an account growth of 4 7 per month This is near our target We could have set a different target higher profits , but high profits come with high risks and we can t accept that as we re aiming for long term profits. Her e, at we treat forex as a business And before we start a business, any business, we need to know when exactly will get back our main investment. According to investopedia The yield is the income return on an investment, such as the interest or dividends received from holding a particular security The yield is usually expressed as an annual percentage rate based on the investment s cost, current market value or face value. For example, suppose we buy a nice house for 3,00,000 and rent it At the end of the year, we get a nice 21,000 revenue, which gives us an yield of nearly 7 per year After 14 years of renting, we finally recovered our main investment. On the other side, forex is a more lucrative business if treated as a business because the yield is much higher Zamolxis has an average yield of 35 60 per year which comes with a risk of 20 If you want to lower the risk to 2 , the profit is also reduced at 6 This is comparable to the situation we described above. For those of you who don t ha ve the money or time to buy a house and rent it, we propose Zamolxis. But before diving into details, let s see how it works. What exactly a bayesian classifier does and how can this be applied to forex trading. I have written a very comprehensive article about bayesian filters, everyone can understand it, please check it out here. In machine learning, Bayes classifiers are a family of simple probabilistic classifiers based on applying Bayes theorem with strong independence assumptions between the features For example, a winning trade is strongly correlated with certain factors like volatility, pivot points, the difference between previous high and low and so on My initial approach was to gather as many inputs as I can coming for any forex robots I could find on the market including the ones I myself created, please see the My forex robots portfolio section The general assumption was that, no matter what strategy the robot uses, trend, pullback, scalper, countertrend , a winning trade can be statistically identified For example, trading around support and resistance points has a higher success probability compared to simply trading blind If you add an extra filter, like volatility, the success probability increases But the main problem is that the market is dynamic, the trading conditions always changes Today is a good day for scalping, tomorrow might be a food day for trend followers, next week might be a great week for grid trading We already know that optimizing the robot is not the answer because we are always one step behind the market. Tu put it simply, a bayesian filter calculates the probability of success based on several factors like support and resistance points and if the probability is good enough, a trade is being opened My forex robot, called Zamolxis is a mixture of bayesian filters and perceptrons sometimes neural network classifiers work better under certain circumstances and this robot uses both. I have spent an entire year trying to gather as much data as possible in order to feed the neural networks and bayesian filters Then, I let them learn and classify the market conditions all by themselves, no optimization was performed It survived in the wild without any optimization or tweaking The purpose was merely survival and learning, without any kind of trade filtering whatsoever, not the profit Now, the test is over and it s time to see the results This time, the robot is fully trained and ready to make money You can see the results here live account. My own demo forward test here. How does Zamolxis work. At first, it was a complete mystery to me why all forex robots fail in spite of such great backtests The answer is simple the market changes and it doesn t always follow past conditions You have to face many months and years of drawdown before you see the light at the end of the tunnel again What is my solution to this problem The approach is different First of all, I don t care about the drawdown anymore The lot gets increased after 3 or more losses and the robot recovers fast, the only thing I care is to keep a lower losing streak, in my case, no more than 7 losses in a row. This is not martingale, it s position sizing. The recovery function has nothing to do with martingale Martingale involves opening multiple positions while doubling the lot size and keeping them open until the all are closed for a profit or the account gets blown This is the fastest way to lose the account. My recovery function doesn t involve martingale, but position sizing, which is a very different thing Zamolxis opens one position at a time. No system is highly profitable on the long run unless it is using some sort of recovery function or position sizing Zamolxis wins 51 of the trades considering the fact that take profit is always higher than stop loss It is profitable even without any recovery function but the profit is low Besides, nobody has the time to wait for years of drawdown, we already know that from our past adventures with forex rob ots That s why I created a realistic recovery function. I have backtested the robot from 2009 to 2016, saved all winning settings, then backtested it against unseen data, from 2003 to 2009 If the losing streak and drawdown doesn t change than I considered that setting to be a valid one and discarded the rest If the losing streak gets higher than 6, the strategy gets invalidated by the market changes and the robot has to be retrained Please note that this is not the holy grail, there is no such thing, it s just a trading tool. At the close of every bar, the market conditions are analyzed and classified with a bayesian filter and a neural network If the feedback is similar, the robot opens a trade Take profit is usually higher than stop loss, making the robot more reliable and trustworthy. It runs on multiple currencies, the supported currencies are EURUSD H1 , AUDUSD H1 , GBPUSD H1 , EURJPY H1 and USDJPY M30.It has a solid recovery function, the lot gets increased after 3 or more consecuti ve losses A very fast recovery is expected. Sometimes is trades every signal, sometimes it doesn t After a more careful analysis I reached the conclusion that sometimes, under certain conditions opening at every signal is a bad thing to do Why Suppose we re talking about a forex robot that opens a trade every time the current candle closes above bellow a moving average When a violent trend occurs many trades are being opened and if a more violent reversal occurs then we re out It s wiser to analyze the market conditions before starting to open more than one trade in the same direction for the same strategy. Is a very and I mean very frequent trader, you won t get bored watching it. Pattern validation. If the market suffers major changes, the pattern is no longer valid and the robot should be retrained in order to learn the new market patterns. As I said before, it was a complete mystery to me why 99 of forex robots fail in spite of such great backtests One possible answer to this question i s over-optimization curve fitting The forex robot is optimized from 2000 to 2016 and only the best looking equity curve is selected This is terribly wrong because that nice looking equity curve is only an accident that doesn t repeat so often in real trading Therefore, as a consequence, the robot fails a few month after the launch. A second possible answer is that the market changes to some degree and the strategy no longer works until the market changes in our favor again. My approach is different Stop loss is smaller than Take Profit and no more than 6-7 losing trades in a row are allowed The recovery function makes sure that we are in profit all the time. I trained the robot from 2009 to 2016 and then tested it against unseen data, from 2003 to 2009 If the number of consecutive losses in a row doesn t change, then the pattern is solid enough. If the number of allowed losses is exceeded, then the market changed and the robot should be retrained. How recovery function works. The way this ro bot is designed is very important I need to know if the backtests are valid or not, this is the main problem of all forex robots. Optimizing the wrong way 99 of forex robot vendors are doing it, intentionally or not. The robot is optimized for the whole testing period, for example between 2000 and 2016 It selects only the best trades, the equity curve looks nice, everything is fine, then after a few months, it bites the dust At first, as I stated before it was a complete mystery to me why Then I realized that the market does not behave according to our backtests, the conditions change and therefore the pattern is broken The second important thing is that backtesting this way there is no checking procedure How can we tell if the backtest is valid or not We can t. Optimizing the right way. The robot is optimized using data between 2003 and 2009 Then, the robot is tested against unseen data, between 2009 and 2016 If the drawdown length, drawdown depth and number of consecutive losses remains the same, then the strategy is valid This is our main assumption. What is new in the current version v30.1 Trailing stop We don t want to lose the profits entirely if the market turns against us, especially when the traded lot size is bigger, therefore the robot has not the ability to decide when the trailling stop should be activated If the market goes in our favor, we can follow it and win big.2 Lot increment algorithm has been changed Suppose the starting lot is 0 1, then the lot increment goes as follows. If the 7th trade is lost, then the next lot size equals initial lot of 0 1 and the cycle continues If you lose a 7 trades cycle which never happened during 10 years of backtests , you lose 20 of your account, which will be recovered in no more than 3-4 months Awesome, right. However, thanks to the trailing stop function we added, if the lot size of a trade is 0 1 the initial lot size and the profit for that trade is higher than the initial tp, the lot size doesn t increment even if t he next 3 trades are lost Why Because we are still in profit overall and we can afford to take one more loss or more with lot 0 1 initial lot Now we can win big if the market goes our way and we can take many future losses without the need to increment the lot size. To put it simple, the lot size rarely increases And this is a huge step forward because the risk is highly reduced.3 Multi currency trader without additional controller If for trades trades we have a profit of pips pips, the lot size doesn t get incremented For example, if trades 20 and pips 200, it means that for the last 20 trades all currencies we have a total profit of 200 pips We are satisfied with it and we don t see the point of increasing the next lot size even if the last trade has ended with a loss.4 Protection against stop loss hunting As much as we like to hide the sl and tp levels from brokers, is very unsafe to do it because the market may turn violently against us wiping up the account sl and tp remains in pla ce, but there is an additional hidden function which does exactly that if the broker doesn t close the trade for profit even if tp is in place, the function activates and closes the trade.5 You can now close the trades manually for loss or profit You could have done it in the previous version also, but now all bugs have been fixed.6 The core algorithm has been reoptimized Neural networks and bayesian filters has been improved, the main purpose is to reduce the risk of ruin.7 New tp and sl setting feature In the previous version, the sl and tp levels are not set when opening a trade, the trade is modified right after opening with the desired sl and tp levels Now you could activate the function which enables you to set tp and sl when opening a trade A rather useless function you may say, but some clients reported that this is the only way Zamolxis works on their broker, by setting tp and sl when opening a trade, not after.8 Please welcome to our new pair EURJPY. If you ask me, I think I s ucceeded in getting the best out of forex robot trading This page will serve as inspiration source for many forex robot vendors, but it s ok. So, is it more profitable than the previous version v20 Short answer is no, the overall profit is almost the same, but the safety is highly improved, the risk has been greatly reduced Please take a look at this picture, it s a comparison between the previous version and the current one. Let s take USDJPY for example Version 2 0 produces a profit of 145 18 and only 1532 pips Version 3 0 produces a profit of 102 15 and 3410 pips Which means the version s 2 0 higher profitability comes from a large number of increased lots which leads to a much larger risk See the difference. Let s see how it trades in the wild, how profits are protected in version 3 0.Thanks to our trailing stop function we added, sometimes when the market conditions are appropriate, you only risk 8 pips in order to get 82.Now, take a look at both forward tests The new version produce d 1600 pips within 2 months while the previous one produced 3000 pips within 18 months The profitability is now focused on individual trades instead of just increasing lots This is a huge step forward. Overall profitability, if all pairs are traded in portfolio, is the same All years are profitable. Portfolio EURUSD, AUDUSD, GBPUSD, EURJPY, USDJPY. When I designed this system I had the followings in mind. I don t have the patience to suffer many years of drawdown Ok, I m finally admitting it, I m not a patient man even if I m doing all my best to become one But leaving aside my lack of patience, what s the point of waiting 2-3 years without even being certain of further recovery So, I m not willing to wait for recovery more than 3 months, the most The portfolio analysis shows a maximum drawdown period of 70 days, but in real life trading I m sure that it will be extended to 3-4 months Ok, so no more than 4 months without profit Please take a look at my former portfolio, for example read th is post the main problem is the drawdown length Without a nice recovery function, you are doomed to wait for a hypothetical recovery for years. Drawdown depth should be no more than 25 of my account, the most I m willing to take such a risk if the recovery is fast Portfolio analysis shows a maximum drawdown of 15 but as I said before, real trading conditions are different and I m expecting a 25 drawdown. I have to know exactly when the strategy becomes invalid and when the robot should be retrained. Is the profit guaranteed. No, of course not, aren t you tired of being scammed Nobody can guarantee the profit, no one can foresee the future and market changes All we can do is try our best according to our current knowledge of math, programming and statistics. Zamolxis Tradind System. Effective Long Term Strategies. After observing my clients trade and observing the way certain currency pairs behave it became evident to me that it is easier to trade forex long term then it is to trade it short t erm There are many reasons why it is easier to trade forex long term than short term below are just a few. Click here to order your copy of The VXX Trend Following Strategy today and be one of the very first traders to utilize these unique strategies This guidebook will make you a better, more powerful trader. First just look at the weekly chart for any currency pair, it looks far smoother with a lot less noise Our research department has tested systems on daily, weekly, hourly and other smaller intraday time frequencies and it is evident that the bigger the frequency on the chart the better the performance It is easier to trade smoother charts. The market also tends to panic and make drastic moves Usually after that buy programs for institutions step in and correct it and the moves end up being just noise. Third the forex market is unregulated and usually traded off exchange for the retail trader thus the FCM s are able to spike the market because they are taking a risk on a lot of the tr ades By spiking the market they can make a lot of traders that have stops near by loose their money to the FCM This is a tactic used by market makers If you are trading long term you are far less likely to loose in these situation. Another big issue is commissions Forex has very high commissions compared to other markets This is usually incorporated in the spread So every time you make a trade you are paying 30 to the FCM By trading long term you are trading less and thus not paying as much. The Trend is Your Friend. One great property that the forex market offers is that it trends great In this article I will particularly concentrate on the EUR USD This is particularly evident on a longer term time frame chart such as a weekly where all of the daily noise is eliminated Below is an example of a Weekly chart of the EUR USD with the Heikin-Ashi Trend Candles Heikin-Ashi Trend Candles are a great Japanese technical tool whose proprietary formula is beneficial in determining the trend this to ol is available in a software package that my company offers, if you would like to know more about the package you can join a free seminar that they conduct every Wednesday at 9pm EST by clicking this link. Look how well the market trended over this 3 year period and how well the Heikin-Ashi Trend Candles captured the trend. Keys to Trading the Trend. Now as you probably already know I preach risk and money management and when it comes to trend trading nothing can be more important that risk and money management In the next section I will show you a basic strategy for trading the trend Although the drawdowns get fairly high because of the inevitable whipsaw periods when the market does not move trading the trend may be easier than you think Now the main quality that you need to have as a trend trader is a strong stomach, you really need to be able to sit through the drawdowns and keep taking more and more trades Many successful traders trade the trend I am sure you know the Boston Red Sox , their owner John W Henry made a lot of his money trend trading Another example is the turtle traders and Richard Donkien. Position Size Control. Now first and foremost it is critical to control your position size when trading the trend This is by far the most important rule The whipsaws will be vicious and will cause you to loose a great deal of your account if you are trading to big, not to mention have a drastic impact on you psychologically A lot of my clients don t use stops or targets or really follow any intense technical analysis What they do is simply trade in the direction of the overall trend, try to trade in the direction of the SWAP collect interest and sit through the drawdowns If they had large positions they would be easily margin called out of their trades. Technically it is extremely difficult to keep your self out of the market during whipsaw periods This is actually next to impossible in my opinion As a trader you have to take every trade of the system you trade becau se you never know which one will be the huge break out of the period that you have been waiting for as a trend trader Now the key from a risk management standpoint is to maximize the amount that you make on the trend and minimize the amount you loose on the whipsaw within the realm of your system. There are a few ways to do this Many successful floor traders used to pyramid into their trades meaning take a position and than add a smaller portion as the price moved in the direction of their trade This is a good strategy, I personally like to scale up in these situations meaning I will keep adding the same size to my position at each trigger point Now the important tactic in each of these strategies is to get out of the whole position as soon as you receive an exit signal based on your rules This could be a technical signal or profit target. The fist tactic is incredibly simple and was tested out effectively by our research department Other filters can be added to this tactic to improve it One of the systems that our firm trades teaches and sells is a variation of this strategy. Long Entry and Exit. Enter when the price crosses above the previous weeks high. Add to the position every time the price crosses above its previous weeks high Do not enter more than once per week so if the price crosses below the previous week s high and crosses back above it do not enter. Exit the whole long position when the price crosses below the previous weeks low. If the previous weeks high is not the highest high of the particular move do not enter the trade. Short Entry and Exit. Enter when the price crosses below the previous week s low. Add to the position every time the price crosses below its previous weeks low Do not enter more than once per week so if the price crosses above the previous week s high and crosses back below it do not enter. Exit the whole short position when the price crosses below the previous weeks high. If the previous weeks low is not the lowest low of a particular move d o not enter the trade. So essentially with this strategy you are always in a trade This is because you are flipping the position and entering with the minimum amount should the trade cross above or below the key level. I recommend starting this system with 1 to 1 leverage and scale up into the trade at each signal In other words you should trade this system with 1 mini lot per 10,000 in your account. In the example below you would enter long with 1 unit of your position every time you see the pointer and exit and flip the position when you see the thumbs down. This strategy is extremely simple and effective as long as you manage your drawdown properly This strategy is an example of how you can use risk management parameters to enhance the performance of your trading system I would recommend using additional filters such as ATR, ADX, and Volatility since they help you gauge the strength of the trend If you would like to learn our advanced version of this system or many other systems that we offer, please contact me at. Alexander Nekritin is a professional trader with over 8 years of experience His specialties include risk management and system development Alexander is the CEO of which is a forex introducing broker and education company that helps suite client s needs in forex trading Alexander has a degree with a concentration in Investment Banking and derivative instruments from Babson College in Massachusetts. A Long-Term Strategy To Conquer The FX Market. Copyright MarketClub All rights reserved User Agreement. U S Government Required Disclaimer Commodity Futures Trading Commission Futures and Options trading has large potential rewards, but also large potential risk You must be aware of the risks and be willing to accept them in order to invest in the futures and options markets Don t trade with money you can t afford to lose This is neither a solicitation nor an offer to Buy Sell futures or options No representation is being made that any account will or is likely to ac hieve profits or losses similar to those discussed on this web site The past performance of any trading system or methodology is not necessarily indicative of future results. CFTC RULE 4 41 HYPOTHETICAL OR SIMULATED PERFORMANCE RESULTS HAVE CERTAIN LIMITATIONS UNLIKE AN ACTUAL PERFORMANCE RECORD, SIMULATED RESULTS DO NOT REPRESENT ACTUAL TRADING ALSO, SINCE THE TRADES HAVE NOT BEEN EXECUTED, THE RESULTS MAY HAVE UNDER-OR-OVER COMPENSATED FOR THE IMPACT, IF ANY, OF CERTAIN MARKET FACTORS, SUCH AS LACK OF LIQUIDITY SIMULATED TRADING PROGRAMS IN GENERAL ARE ALSO SUBJECT TO THE FACT THAT THEY ARE DESIGNED WITH THE BENEFIT OF HINDSIGHT NO REPRESENTATION IS BEING MADE THAT ANY ACCOUNT WILL OR IS LIKELY TO ACHIEVE PROFIT OR LOSSES SIMILAR TO THOSE SHOWN. All trades, patterns, charts, systems, etc discussed in this advertisement and the product materials are for illustrative purposes only and not to be construed as specific advisory recommendations All ideas and material presented are entirely t hose of the author and do not necessarily reflect those of the publisher or No system or methodology has ever been developed that can guarantee profits or ensure freedom from losses No representation or implication is being made that using the MarketClub methodology or system will generate profits or ensure freedom from losses The testimonials and examples used herein are exceptional results, which do not apply to the average member, and are not intended to represent or guarantee that anyone will achieve the same or similar results Each individual s success depends on his or her background, dedication, desire, and motivation.
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