始於2008  原始點差  不加佣金。
十七年信譽保障
零起付:0.01美元返佣也可以支付到賬。
隨時付:隨時提現,無週期或次數限制。
免費付:不扣任何手續費,全額到賬。
2011-08-19 09:23:09
waiting for some time before the bubble burst and our capital cannot handle those type of
stoplosses as they must be huge to handle the playing area of those on the beach. The
money changers can handle that, They will sit for six months and knows that the coming
tsunami will make them rich.
Fifthly are those that watches the faces of those that play. Their emotion will tell
the overall status. Playing!!!!!!. The big ones leave the scene unnoticeable to the
majority. It is only when there followers see they are not there anymore that they started
to react. It is at this point where you as part of that 5% must step in. Recognizing the
changing emotion and run with them. You might not know why you are running yet but
that you will read in the papers and not others reading about you in the papers.
The MACD signal only tells us that a change in motion (not emotion) is taking
place. We then have to look for a change in emotion and that comes with the TAIL I was
describing in the exercise. There are many formations as to show the change in emotion.
Morning/evening stars, tweezer top/bottom, spinners, inside candles, engulfing candles,
doji candles etc. etc!!!!! look at investopedia.com or any educational website for those
emotional signal patterns. Study past setups in the MACD signal that produced results
and try to recognize the change in emotion. Also study the signals that did not produced
results and see if there was emotional activity or not. If you have both in place, the
MACD signal together with the emotional signal your chances of success are so much
higher.
附錄二
The horizontal lines is just there to show overbought and or sold levels especially on the EurUsd. Sometimes the movement is close to the zero and within the fisrt MACD zone. I only use it as benchmarks as to where the MACD are at the moment. If one zooms in then you dont loose sight of the position of the MACD.
The MACD does not have to reach certain levels. It is only when it zig zag accross the zero that one must be carefull but it happens when the price is in a narrow channel waiting for a breakout.
Stoploss is set at the most resent high or low or at least two bars away. Do a bit of backtesting to get the feel for it. I try not to use equal numbers like 30, 40 etc. I rather use 33, 43 etc. Equal numbers seem to be sometimes the target . Stoplosses also depend on the capital and risk profile of each individual. It is with what you are comfortable with but at least out of the way. Because this strategy normally preduces a move right after the entry the stoploss dont have to be big.
It is just because of working schedule and limited internet access during working hours.
These were the amount of deals for 2006 per time (GMT+2)
01:00---25
05:00---34
09:00---17
13:00---46
17:00---52
21:00---29
That also depends on the profit targets. If I can only plan to manage 30 pips out of the deal I want my stoploss not to be greater than that. I sometimes even uses two candles back if the first one is a small candle.
Todays trade (post31) had entry at 1.2915 with stoploss at 1.2890 initially and the previous candles fell nice within that range.
I also takes profit in stages so that when a trade has run to the first S/R I like to get something in my pocket. I like to get to breakeven as soon as possible and the let the rest have its run.
Remember also that the price has broken down through the 89SMA and a pullback to the 21EMA is the rule. But the MAs is to crowded so I will wait for a breakout first and then confirmation on the MACD as we are in a little consolidation phase. If the price moves away from the 21EMA coming down and the MACD shows our trend continue setup(move towards zero and then turn away) one can consider entering with first target 1.9500 and second one 365EMA. Also watch the trendline as from 8Jan. We are at support. Patients is the name of the game.
As you can see in the samples that it seems that most of the time the MACD gives a positive signal before news comes out. And then I dont mean minutes before it. It will give it some time earlier. The big ones already knows before the news. I will set stoplosses at different levels to minimize the risk and yet to take advantage of the move should it go in my favour.
Inrerest rates and farm payrolls is always dicy and I prefer to close deals before that.
I just want to emphasize someting. I dont trade as to the exact pip. By that I mean if the 21EMA is 39 pips away I subtract my 2 pips spread and then put in a close order for 37 pips. I dont do it that way. Profit after 30 pips is good enough for me. I have lost to many deals with one or three pips to be that exact. If my profit target is at 1.2900 with a possible 40 gain I will take profit at 1.2890 for a sure 30 pips. I dont also trade every signal the MACD is given. Look at history to see which ones give definite gain and study the looks of it. See how it moved in relation to the MAs.
6/9 首頁 上一頁 4 5 6 7 8 9 下一頁 尾頁
兄弟財經是全球歷史最悠久,信譽最好的外匯返佣代理。多年來兄弟財經兢兢業業,穩定發展,獲得了全球各地投資者的青睞與信任。歷經十餘年的積澱,打造了我們在業内良好的品牌信譽。
本文所含内容及觀點僅為一般信息,並無任何意圖被視為買賣任何貨幣或差價合約的建議或請求。文中所含内容及觀點均可能在不被通知的情況下更改。本文並未考 慮任何特定用戶的特定投資目標、財務狀況和需求。任何引用歷史價格波動或價位水平的信息均基於我們的分析,並不表示或證明此類波動或價位水平有可能在未來 重新發生。本文所載信息之來源雖被認為可靠,但作者不保證它的準確性和完整性,同時作者也不對任何可能因參考本文内容及觀點而產生的任何直接或間接的損失承擔責任。
外匯和其他產品保證金交易存在高風險,不適合所有投資者。虧損可能超出您的賬戶註資。增大槓桿意味著增加風險。在決定交易外匯之前,您需仔細考慮您的財務目標、經驗水平和風險承受能力。文中所含任何意見、新聞、研究、分析、報價或其他信息等都僅 作與本文所含主題相關的一般類信息.
同時, 兄弟財經不提供任何投資、法律或稅務的建議。您需向合適的顧問徵詢所有關於投資、法律或稅務方面的事宜。
《通向財務自由之路》的作者範K·撒普博士指出:交易成本是影響交易績效的重要因素之一。很少有交易系統可以創造比它的成本更高的利潤。通過外匯返佣代理開戶,可以大幅有效的降低交易成本,從而提升獲利潛能、改善交易績效。
風險提示:
金融產品保證金交易存在極高的風險,未必適合所有的投資者,請不要相信任何高額投資收益的誘導而貿然投資! 在您決定投資槓桿類金融產品時,請務必考慮您的經驗水平和風險承受能力,投資導致的損失有可能超過存入的資金,因此您不應該以不能承受損失的資金來投資!投資風險不僅來自於槓桿交易,也有可能來自於交易商, 請仔細甄選合規的交易商以規避風險!所有投資者的交易帳戶應僅限本人使用,不應交予第三方操作,任何由接受第三方喊單、操盤等服務而導致的風險和虧損應自己承擔,責任自負!
兄弟財經是一間獨立的咨詢服務公司,不隸屬於任何交易商,僅向投資者提供信息咨詢、降低投資成本的咨詢類服務。 兄弟財經不邀約客戶投資任何槓桿類的金融產品,不接觸投資者資金及賬戶信息,不提供交易建議,不提供操盤服務,不推薦交易商, 投資者自行選擇交易商,兄弟財經僅提供信息咨詢,交易商的任何行為均與兄弟財經無關!
投資者在兄弟財經進行任何咨詢行為均代表接受和認可上述聲明!
所有投資者均為自行選擇且直接前往交易商官網進行投資行為(包括提交開戶資料和存取資金),兄弟財經不承擔客戶與交易商之間的交易争議及由交易商問題造成經濟損失的責任。 如果您不了解槓桿類金融產品市場的風險,請千萬不要參與相關投資交易!
請確保您具備以下條件:專業級的投資知識與能力;可以承受損失的資本(虧損不會導致負債或影響生活)。否則切勿參與槓桿交易。