Dólar de Nueva Zelanda se centran en 8100
Preparado por Jamie Saettele, CMT
El NZDUSD continúa sosteniendo extremadamente bien que es extraño teniendo en cuenta su correlación previamente estrecha con & lsquo; riesgo & rsquo ;. El patrón a corto plazo sigue siendo constructivo según el patrón inverso de la cabeza y de los hombros. Un triángulo más grande o plano puede desplegarse. Las implicaciones son para una prueba de 8100/20 antes de una disminución hacia los mínimos.
Jamie Saettele publica Daily Technicals todos los días de la semana por la mañana, análisis COT (publicado el lunes), análisis técnico de cruces de divisas el miércoles y el viernes (Euro y Yen cruza) y la estrategia de comercio intradía como acción de mercado dicta en el DailyFX Forex Stream. Graduado de la Universidad de Bucknell, tiene la designación de Técnico de Mercado Flete (CMT) de la Market Technician Association. Es el autor de Sentiment en el mercado Forex. Enviar solicitudes para recibir sus informes por correo electrónico a jsaettele@dailyfx. com.
DailyFX proporciona noticias forex y análisis técnico sobre las tendencias que influyen en los mercados de divisas globales. Aprenda el comercio de divisas con una cuenta de práctica libre y gráficos comerciales de FXCM.
EUR / GBP: Brexit breakout podría apuntar .8000 o .8100 a continuación?
Por Matt Weller | 24 de febrero de 2016
Al comienzo de la semana, resaltamos la gran incertidumbre del mercado en torno a la próxima votación sobre "Brexit" (salida británica de la Unión Europea), concluyendo que "si bien es difícil poner en peligro la acción a corto plazo, estamos inclinados Para buscar más desventaja en GBP / USD dada la incertidumbre en curso y el momento bajista. Un cierre por debajo de 1.4080 probablemente abriría la puerta a una carrera hacia el apoyo psicológico a 1.40, si no más bajo. "Con el par llegando a una baja cerca de 1.3880 esta mañana, se podría argumentar que incluso esa visión bajista era demasiado conservadora.
El impacto en el cruce EUR / GBP ha sido casi tan severo. Desde la formación de una base a largo plazo en la región .7000-.7500 a lo largo de 2015, la unidad se ha vuelto definitivamente superior hasta ahora este año, el seguimiento de la creciente incertidumbre que rodea Brexit. Mientras que nadie está seguro de lo que un Brexit significaría para el Reino Unido y las economías de la zona euro (después de todo, nunca ha sucedido antes), los comerciantes tienden a vender primero y hacer preguntas más tarde, cuando la incertidumbre está en aumento.
Sobre una base técnica, EUR / GBP se encuentra en medio de una ruptura potencialmente crítica. Las tarifas están mirando por encima del retroceso de Fibonacci del 50% de la caída de febrero de 2013 a julio de 2015 en .7875. Mientras tanto, se ha formado una fuerte línea de tendencia alcista que conecta cuatro bajas separadas (incluyendo a finales de la semana pasada) y continúa proporcionando un fuerte apoyo. Incluso el RSI apunta más alto, con el indicador ampliamente observado manteniéndose dentro de un claro rango alcista de 55 a 75.
Suponiendo que la ruptura de hoy se mantenga con un cierre por encima de .7875, las ganancias adicionales se favorecen en EUR / GBP. El siguiente nivel de resistencia cercano es la resistencia psicológica en la palanca .8000, seguido por el 61,8% de retracement de Fibonacci hacia arriba en .8100. Sólo una inversión y ruptura por debajo de la línea de tendencia alcista establecida (actualmente cerca de .7775) invalidaría el sesgo alcista a corto plazo.
Para un par que se limitó a un rango de 500 pips durante la mayor parte del año pasado, volatilidad EUR / GBP ha vuelto con una venganza hasta ahora en 2016.
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NZDUSD - 0.8150 es una zona de venta
El dólar de Nueva Zelandia movió el intraday más bajo contra el dólar de los EEUU después de la decisión de la tarifa de interés de la fuente. El par NZDUSD por debajo de la 0.8100, y se negociaba tan bajo como 0.8077. Anteriormente durante la sesión asiática, el Producto Interno Bruto (PIB) de Nueva Zelanda fue publicado por el Statistics New Zealand. El resultado fue de alguna manera bueno, ya que el informe mencionó que el PIB de Nueva Zelanda creció un 0,7%, mientras que el mercado esperaba un aumento del 0,6%. Sin embargo, la tasa actual es inferior a la lectura anterior del 1,0%. El NZDUSD ha logrado recuperar algo de terreno después del lanzamiento, pero parece que hay varios obstáculos en el camino hacia arriba para el par.
Hay una línea de tendencia bajista formada en el gráfico horario del par NZDUSD, que puede ser considerado como un obstáculo monstruo en el corto plazo. En la actualidad, el par se cotiza en torno al nivel de retroceso de 23,6% de la última gota desde 0,8229 a 0,8077. Existe la posibilidad de que el par comercialice cerca de la línea de tendencia resaltada, que también coincide con el nivel de fib de 38,2% y un nivel anterior de oscilación. En esa situación, el dólar de Nueva Zelandia es probable que la lucha alrededor de los niveles de 0.8140-50, y los vendedores es probable que aparezca en torno a los niveles mencionados. El RSI horario está rebotando desde los niveles extremos, lo que podría apoyar al par a corto plazo para una corrección hacia la zona de resistencia.
Incluso existe la posibilidad de que el par pueda fallar alrededor de los niveles actuales y moverse más bajo. En esa situación, la baja de hoy alrededor del nivel 0.8077 podría ser probada nuevamente.
En general, los rallies de venta parecen una gran opción teniendo en cuenta que el par ha violado una importante área de apoyo.
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El comercio de divisas (Forex) conlleva un alto nivel de riesgo y puede no ser adecuado para todos los inversores. El riesgo crece a medida que el apalancamiento es mayor. Los objetivos de inversión, el apetito de riesgo y el nivel de experiencia del comerciante deben ser cuidadosamente pesados antes de entrar en el mercado Forex. Siempre existe la posibilidad de perder parte o la totalidad de su inversión inicial / depósito, por lo que no debe invertir dinero que no puede permitirse perder. El alto riesgo que está involucrado con el comercio de divisas debe ser conocido por usted. Solicite consejo de un asesor financiero independiente antes de entrar en este mercado. Cualquier comentario hecho en Forex Crunch o en otros sitios que han recibido permiso para volver a publicar el contenido originario de Forex Crunch reflejan las opiniones de los autores individuales y no representan necesariamente las opiniones de cualquiera de los autores autorizados de Forex Crunch. Forex Crunch no ha verificado la exactitud o base de hecho de cualquier reclamación o declaración hecha por cualquier autor independiente: omisiones y errores pueden ocurrir. Cualquier noticia, análisis, opinión, cotización o cualquier otra información contenida en Forex Crunch y el contenido reeditado permitido se debe tomar como comentario general del mercado. No es un consejo de inversión. Forex Crunch no aceptará ninguna responsabilidad por cualquier daño, pérdida, incluyendo, sin limitación, cualquier beneficio o pérdida que pueda surgir directa o indirectamente del uso de dicha información.
SEBI barre 22 corredores para la evasión fiscal # 039; Oficios de Rs 8,100 crore
Nueva Delhi: Continuando con su represión por el uso indebido del sistema bursátil por evasión de impuestos, el regulador SEBI prohibió a 22 corredores del mercado de valores para ejecutar operaciones de inversión por valor de más de 8.100 rupias para generar ganancias o pérdidas ficticias.
Sin embargo, estos miembros comerciales se les permitirá funcionar como corredores de bolsa en nombre de sus clientes existentes en el segmento de efectivo. Pero, no pueden firmar ningún nuevo cliente.
La última directiva sigue una orden provisional aprobada en agosto de 2015, en la que SEBI había prohibido a 59 entidades de los mercados para sus operaciones sospechosas en el segmento de opciones sobre acciones.
En el presente caso, SEBI investigó a los miembros comerciales a través de los cuales estas entidades estaban bloqueadas. Se encontró que una parte importante de su facturación era operaciones de reversión en opciones de acciones para crear ganancias o pérdidas ficticias.
De acuerdo con SEBI, estos miembros comerciales revertieron una proporción significativa de las operaciones dentro de minutos de entrar en el comercio original. Estas operaciones resultaron en beneficios significativos para un conjunto de entidades y una pérdida significativa para otro.
Los miembros negociadores, a través de operaciones de reversión para sus clientes, generaron una pérdida total de Rs 1,273 crore y un beneficio total de Rs 1,303 crore, dijo SEBI.
El examen prima facie reveló que la plataforma de intercambio fue abusada para generar tales ganancias o pérdidas artificiales ejecutando operaciones de reversión por un monto de Rs 8,100 crore.
Como parte de la vigilancia continua, SEBI se encontró con varias instancias, en las que un conjunto de entidades se consideraba consistentemente incurrir en pérdidas comerciales al ejecutar operaciones de reversión en opciones sobre acciones individuales en el segmento de derivados sobre acciones.
La Securities and Exchange Board de la India (SEBI) encontró que estos 22 corredores tienen, "prima facie facie, facilitado a sus clientes a utilizar y emplear un dispositivo manipulativo premeditado o artificio mientras se negocian en el mercado de valores y se entregó a no genuino y engañoso actas."
Dicha actividad por parte de los miembros comerciales deliberadamente o de otro modo daña la integridad del mercado, aparte de presentar una imagen incorrecta de la liquidez a los inversores crédulos que podría afectar sus decisiones de inversión, dijo SEBI.
En consecuencia, SEBI ha restringido a 22 entidades "de comprar, vender o negociar en los mercados de valores, directa o indirectamente, de cualquier manera, excepto como un corredor de bolsa para sus clientes existentes en el segmento de efectivo".
Las entidades excluidas incluyeron Sunstar Securities, Corretores de Valores de Mauzampuria, Valores de Guinness, Valores de Abans, Valores de Kayan, Valores de Odyssey, Corredor de Stock de Giriraj, Mejor Negociación de Acciones de Bull, Lalit Kumar Tulshyan y Mousumi Deb Roy.
Además, SEBI ha dirigido a las bolsas de valores interesadas la realización de una inspección específica de estos socios comerciales, la adopción de medidas correctoras, si las hubiera, y la presentación de un informe al regulador en un plazo de seis meses.
Fuera de estas operaciones, no había mucha actividad por parte de estos miembros comerciales en el segmento de opciones sobre acciones, lo que implicaba que prima facie llevaba a cabo negocios de corredor de bolsa registrado en este segmento principalmente para facilitar tales operaciones - que es entradas de libro ficticio / beneficio artificial Generación de pérdidas.
La orden examinó la actividad de los corredores de bolsa que abarcan desde abril de 2014 hasta septiembre de 2015.
Новости Форекс Онлайн
Каждый, кто торгует на рынке Форекс, знает, что стоимость той или иной валюты зависит от множества факторов. Так, например, цена валюты зависит от макроэкономического положения страны, которой принадлежит эта денежная единица. Поэтому, чтобы трейдинг приносил прибыль, нужно постоянно просматривать экономические новости, а также уметь быстро разбираться в отчетах регуляторов.
Для вашего удобства мы предлагаем вам специальный раздел «Форекс-новости», в котором представлена непрерывная, регулярно обновляемая лента свежих новостей. Самые интересные новости помечаются как «Новость дня».
Новости экономики и финансов. Размещаемые на нашем сайте, мы получаем от ведущих мировых аналитических и информационных агентств.
Новости рынка Форекс - это незаменимый инструмент, который необходим в прогнозе движения цены. В частности, если опубликованные данные противоречат рыночному тренду, то влияние новости на динамику рынка ограничится несколькими часами. Если же наоборот - данные подтвердят движение тренда - то он будет только увеличиваться с возможным откатом в будущем.
Ниже представлены последние Форекс-новости, оказывающие непосредственное влияние на котировки валют, - новости экономики, финансов, политики и валютных рынков.
Следите за изменениями в мире Форекс, и вы всегда будете в курсе самых важных событий, что позволит вам своевременно принимать решения при совершении торговых операций.
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& Raquo; 2016-03-25 12:26:00
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объем розничных продаж США повысился в IV квартале до + 1,6% По уточненным данным объем розничных продаж США повысился в IV квартале до + 1,6% против. В новому вікні Швидкий перегляд
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Объем экспорта нефти Вьетнама сократился в I квартале на 19,8% г / г По официальным данным объем экспорта нефти Вьетнама сократился в I квартале на 19,8%. В новому вікні Швидкий перегляд
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Профицит торгового баланса Вьетнама составил в марте $ 100 млн posts официальной оценке профицит торгового баланса Вьетнама составил в марте $ 100 млн. В новому вікні Швидкий перегляд
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Y raquo; 2016-03-25 07:16:00
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8100 (THB) Baht tailandés (THB) Hasta Euro (EUR)
Baht tailandés (THB) hasta Euro (EUR)
Esta es la página de Thai Baht (THB) a Euro (EUR), a continuación encontrará la actualización de la tasa de cambio entre ambas y se actualizamos cada 1 minutos. Muestra el tipo de cambio de la conversión de dos monedas. También muestra el historial gráfico de esta divisa pares, eligiendo el período de tiempo se puede obtener información más detallada. Desea invertir los pares de divisas? Por favor, visite Euro (EUR) Para Baht Tailandés (THB).
Venta 8100 THB obtienes 201.43178 EUR Comprando 8100 THB pagas 205.57188 EUR
Tasas de Cambio Actualizado: Mar 26,2016 09:06 UTC
8100 Euro (EUR) en la República Checa Corona (CZK)
Aquí usted encuentra las tasas de cambio actuales para convertir 8100 Euro (EUR) en Corona de la República Checa (CZK) hoy. También puedes echar un vistazo a los gráficos donde encontrarás los detalles históricos del cambio de EUR a CZK, las monedas se actualizaron hace 7 meses, como puedes ver, los valores de divisas están en TIEMPO REAL.
8100 EUR en CZK = KÄ 222097.1400
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Tasa de cambio de Euro a República Checa Corona. 1 EUR = 27.4194 CZK
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8100 (CHF) Franco suizo (CHF) A Euro (EUR)
Franco suizo (CHF) A Euro (EUR)
Esta es la página de Conversión de Francos Suizos (CHF) a Euro (EUR), puede encontrar la última tasa de cambio entre ambos y se actualiza cada 1 minutos. Muestra el tipo de cambio de la conversión de dos monedas. También muestra el historial gráfico de esta divisa pares, eligiendo el período de tiempo se puede obtener información más detallada. Desea invertir los pares de divisas? Por favor, visite Euro (EUR) Para Franco suizo (CHF).
Venta 8100 CHF obtiene 7415.34137 EUR Compra 8100 CHF le paga 7421.54837 EUR
Tasas de Cambio Actualizado: Mar 26,2016 09:06 UTC
Dólar de Nueva Zelanda se centran en 8100
Preparado por Jamie Saettele, CMT
El NZDUSD continúa sosteniendo extremadamente bien que es extraño teniendo en cuenta su correlación previamente estrecha con & lsquo; riesgo & rsquo ;. El patrón a corto plazo sigue siendo constructivo según el patrón inverso de la cabeza y de los hombros. Un triángulo más grande o plano puede desplegarse. Las implicaciones son para una prueba de 8100/20 antes de una disminución hacia los mínimos.
Jamie Saettele publica Daily Technicals todos los días de la semana por la mañana, análisis COT (publicado el lunes), análisis técnico de cruces de divisas el miércoles y el viernes (Euro y Yen cruza) y la estrategia de comercio intradía como acción de mercado dicta en el DailyFX Forex Stream. Graduado de la Universidad de Bucknell, tiene la designación de Técnico de Mercado Flete (CMT) de la Market Technician Association. Es el autor de Sentiment en el mercado Forex. Enviar solicitudes para recibir sus informes por correo electrónico a jsaettele@dailyfx. com.
DailyFX proporciona noticias forex y análisis técnico sobre las tendencias que influyen en los mercados de divisas globales. Aprenda el comercio de divisas con una cuenta de práctica libre y gráficos comerciales de FXCM.
8100 (EUR) Euro (EUR) Para Egyptian Pound (EGP)
Euro (EUR) Para Egyptian Pound (EGP)
Esta es la página de Conversión de Euro (EUR) a Egyptian Pound (EGP), a continuación encontrará la última tasa de cambio entre ambos y se actualiza cada 1 minutos. Muestra el tipo de cambio de la conversión de dos monedas. También muestra el historial gráfico de esta divisa pares, eligiendo el período de tiempo se puede obtener información más detallada. Desea invertir los pares de divisas? Por favor, visite Egyptian Pound (EGP) Hasta Euro (EUR).
Venta 8100 EUR obtiene 80189.90959 EGP Compra 8100 EUR le paga 80230.42313 EGP
Tasas de Cambio Actualizado: Mar 26,2016 09:06 UTC
8100 (EUR) Euro (EUR) Para Libra esterlina (GBP)
Euro (EUR) Para Libra Esterlina (GBP)
Esta es la página de Euro (EUR) a Libra Esterlina (GBP) de conversión, a continuación encontrará las últimas tasas de cambio entre ellos y se actualiza cada 1 minutos. Muestra el tipo de cambio de la conversión de dos monedas. También muestra el historial gráfico de esta divisa pares, eligiendo el período de tiempo se puede obtener información más detallada. Desea invertir los pares de divisas? Por favor, consulte Libra esterlina (GBP) A Euro (EUR).
Venta 8100 EUR Usted compra 6397.54437 GBP Compra 8100 EUR que usted paga 6403.49447 GBP
Tasas de Cambio Actualizado: Mar 26,2016 09:06 UTC
Comprado en 0.8100, Objetivo: 0.8250, Stop: 0.8040
Posición: - Long en 0.8100 Meta: - 0.8250 Parada: - 0.8040
Hold largo introducido en 0.8100, Objetivo: 0.8250, Stop: 0.8130
Posición: - Long en 0.8100 Meta: - 0.8250 Parada: - 0.8130
Aunque el australiano cayó a tan bajo como 0.8070 ayer, ya que el par encontró un buen soporte allí y ha organizado el rebote anticipado, manteniendo nuestra visión de que la consolidación adicional por encima de la baja de la semana pasada en 0.8033 se vería con un sesgo al alza para la prueba de resistencia en 0.8255, Añadiría credibilidad a nuestra opinión de que la baja temporal se ha formado en 0.8033, trae retroceso de la reciente disminución a 0.8300-05 y posiblemente 0.8320-25 (38.2% de retroceso Fibonacci de 0.8796-0.8033), pero la resistencia en 0.8376 debe mantenerse desde aquí.
En vista de esto, nos aferramos a nuestra posición larga ingresada en 0.8100. Por debajo de 0,8130-35 se arriesgaría a debilitarse a 0,8100, pero sólo la ruptura de dicho soporte en 0,8070 (baja de ayer) señalaría la disminución se ha reanudado para el nuevo test de 0,8033 y más tarde hacia el apoyo psicológico en 0,8000. Dicho esto, es probable que esta ola 5 se limite a 0.7940-50 y considere 0.7895-00 (50% de proyección de 0.8723-0.8088 medido desde 0.8216) contendría la desventaja, el riesgo de que haya aumentado para un rebote correctivo que tendrá lugar más tarde .
En el gráfico de 4 horas, el movimiento de 0.8066 es la onda 5 con i: 0.8860, ii: 0.8315, la onda iii es un movimiento extendido terminado en 1.0183, iv: 0.9706 y la onda v ha terminado en 1.1081 (también la parte superior de todo Onda 5). El siguiente selloff es la corrección mayor que se está desarrollando como ABC-X-ABC y 2ª A pierna ha terminado en 0.8848, seguido por abc onda B que posiblemente ha terminado en 0.9758, por lo tanto, la segunda onda C está en progreso y debería traer debilidad A 0.8000 pero el inconveniente de la parte inferior se limitaría a 0.7890-00.
Sobre el Autor
Candlesticks Intraday Trade Ideas Horario de Actualización (GMT): 1ª Actualización: 0630 - 0700; 2ª actualización: 0930 - 1000; 3ª actualización: 1230 - 1300; 4ta actualización: 1500 - 1530 Pares cubiertos: EUR / USD, USD / JPY, GBP / USD, USD / CHF
Elliott Wave Daily Trade Ideas Horario de Actualización (GMT): AUD / USD, EUR / JPY: 0800 - 0830; EUR / GBP, USD / CAD: 1430 - 1500 GMT
Las últimas en Elliott Wave Daily Trades
Sebi barre 22 corredores para operaciones de 'evasión fiscal' de Rs 8,100 crore
MUMBAI: La Junta de Valores y Bolsa de India (sebi) prohibió el miércoles a casi dos docenas de miembros comerciales de participar en el mercado de capitales.
Un comunicado emitido por el regulador dijo que 22 miembros comerciales han sido restringidos de comprar, vender o negociar en los mercados de valores, tanto directa como indirectamente, excepto como corredor de bolsa para los clientes existentes en el segmento de efectivo. Para tomar nuevos clientes, agregó el comunicado.
Los miembros comerciales prohibidos incluyen NS Broking, Mousumi Deb Roy, Valores de Kayan, Lalit Kumar Tulshyan, Valores MKB, Bahubali Forex, Subh Stock Holding y Guiness Securities.
El regulador se encontró con varias instancias en las que un conjunto de entidades se consideró constantemente incurrir en pérdidas de comercio mediante la ejecución de operaciones de reversión en las opciones sobre acciones en el segmento de derivados.
Sebi observó que las entidades deficitarias estaban negociando principalmente en opciones sobre acciones individuales que se negociaban escasamente. Las transacciones de estas entidades deficitarias, en muchos casos, contribuyeron entre un 70% y un 100% del volumen total negociado para los contratos.
En varias ocasiones, la cantidad de opciones de compra de acciones compradas y vendidas también era idéntica, sin embargo, hubo una diferencia significativa en el valor de venta y el valor de compra de las transacciones que resultaron en pérdidas significativas para las entidades deficitarias. Además, un número sustancial de transacciones se cuadró y un porcentaje importante de las transacciones de los mismos fueron inversiones comerciales. Por ejemplo, si las opciones de compra de acciones fueron vendidas primero a una entidad, se comprarían en cantidad exacta de la misma entidad o viceversa
La actividad generó una pérdida de Rs 1,273 crore a algunos clientes y un beneficio de Rs 1,303 crore a otro conjunto de clientes. El uso indebido de las opciones de acciones muestra un panorama irreal de la actividad del mercado a otros inversores y derrota el mecanismo de descubrimiento de precios mediante la ejecución repetida de operaciones de reversión pre-decididas, dijo el pedido, firmado por el miembro de todo el tiempo de Sebi, Rajeev Kumar Agarwal.
Manténgase al tanto de las noticias de negocios con The Economic Times App. ¡Descárgalo ahora!
8100 (SEK) Corona sueca (SEK) A Euro (EUR)
Corona Sueca (SEK) A Euro (EUR)
Esta es la página de Swedish Krona (SEK) a Euro (EUR) de conversión, a continuación encontrará la última tasa de cambio entre ambos y se actualiza cada 1 minutos. Muestra el tipo de cambio de la conversión de dos monedas. También muestra el historial gráfico de esta divisa pares, eligiendo el período de tiempo se puede obtener información más detallada. Desea invertir los pares de divisas? Por favor, visite Euro (EUR) Para corona sueca (SEK).
Venta 8100 SEK obtiene 872.98094 EUR Compra 8100 SEK que paga 873.68047 EUR
Tasas de Cambio Actualizado: Mar 26,2016 09:06 UTC
8100 (PLN) Zloty Polaco (PLN) A Euro (EUR)
Zloty Polaco (PLN) A Euro (EUR)
Esta es la página de Polish Zloty (PLN) a Euro (EUR) de conversión, a continuación encontrará las últimas tasas de cambio entre ellos y se actualiza cada 1 minutos. Muestra el tipo de cambio de la conversión de dos monedas. También muestra el historial gráfico de esta divisa pares, eligiendo el período de tiempo se puede obtener información más detallada. Desea invertir los pares de divisas? Por favor, visite Euro (EUR) Para Polonia Zloty (PLN).
Venta 8100 PLN usted consigue 1898.56335 EUR Comprando 8100 PLN usted paga 1901.87389 EUR
Tasas de Cambio Actualizado: Mar 26,2016 09:06 UTC
8100 (PHP) Peso filipino (PHP) Para Dólar estadounidense (USD)
Peso filipino (PHP) Para Dólar estadounidense (USD)
Esta es la página de Conversión de Peso Filipino (PHP) a Dólar Estadounidense (USD), puede encontrar la última tasa de cambio entre ambos y se actualiza cada 1 minutos. Muestra el tipo de cambio de la conversión de dos monedas. También muestra el historial gráfico de esta divisa pares, eligiendo el período de tiempo se puede obtener información más detallada. Desea invertir los pares de divisas? Por favor, consulte Dólar estadounidense (USD) Para Peso filipino (PHP).
Venta 8100 PHP obtiene 173.81228 USD Compra 8100 PHP paga 174.31726 USD
Tasas de Cambio Actualizado: Mar 26,2016 09:06 UTC
8100 (RUB) Rublo ruso (RUB) Para Euro (EUR)
Rublo ruso (RUB) A Euro (EUR)
Esta es la página de Russian Ruble (RUB) a Euro (EUR) de conversión, a continuación encontrará las últimas tasas de cambio entre ellos y se actualiza cada 1 minutos. It shows the exchange rate of the two currencies conversion. It also shows the history chart of this currency pairs, by choosing the time period you can get more detailed information. Would you like to invert the currencies pairs? Please visit Euro(EUR) To Russian Rouble(RUB) .
Selling 8100 RUB you get 104.39094 EUR Buying 8100 RUB you pay 105.78488 EUR
Exchange Rates Updated: Mar 26,2016 09:06 UTC
Can EURGBP break into 0.8000 and is it ignoring the ECB risk?
Despite the fact that the monetary policy divergence between the BOE and ECB is wide (and potentially going to widen), EURGBP has put in a very strong move.
EUGBP has been a great central bank trade for me. From the UK recovery from 2013, which put a hawkish emphasis on the BOE, versus Europe still dragging along the floor and the ECB taking the QE road, trading monetary policy divergence couldn't have been any simpler.
There's been several pulling forces in the pair. The UK recovery and the expectation building up from late 2014 and through 2015 that the BOE could hike, and the ECB taking easing further. Over all that time the reality has been that the BOE has done nothing with rates while the ECB has continued to ease. So why has the direction turned?
Now the pull is different. The UK rate forecasts have been kicked out into the next millenium and the Brexit shadow looms large. That it's ignoring what the ECB could do in March, to further widen the gap with the BOE, is a trade in itself.
So with that risk in mind it's clear that the price action is telling us that the pound is the driver in this move, not the euro.
We're getting closer to the ECB meeting and trend in this pair is showing no signs of stopping.
A look at the weekly chart shows us that we're approaching some strong resistance levels.
First up is the 200 wma at 0.7940. The main area I'm interested in is up at 0.8000 and more so 0.8030. This was the area I sold back in 2014 for the run down to 0.7000. The level had been a strong historical one and was twinned with the psychological 0.80 level. The resistance that formed in that area was exactly what I look for when trading a break. There was a lot of sweating in waiting for the move to really crack lower but the resistance played it's part and kept the trade on track.
It's that resistance that is going to be worth watching once again and looks a great spot for a short trade again. The 38.2 fib of the 2008 move bang on 0.8030 as is the 55 mma (I won't squabble about the 5 pip difference of it being at 0.8025). Those weekly highs add to the resistance that is squeezed in below the 61.8 fib of the 2012 move at 0.8096. They look even better on the monthly chart.
Technically it looks fantastic and it's all packed into a 100 pip range. That gives us various levels to scale in at and keep risk well managed. It also gives us a clear stop point above 0.8100.
I'm going to look to start shorting it just ahead of 0.80. If we get there ahead of the ECB meeting, all the better as there might be the possibility of catching some action if this pair is ignoring that risk. I'm not so keen on sitting in this one as long as my last short as the playing field is different now. A first target would be around the support at 0.7760. I'll look to add at the other levels and I'll look to throw it in if we break 0.8100-0.8150, at the widest.
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8100(HUF) Hungarian Forint(HUF) To Euro(EUR)
Hungarian Forint(HUF) To Euro(EUR)
This is the page of Hungarian Forint (HUF) to Euro (EUR) conversion, below you can find the latest exchange rate between them and is updated every 1 minutes. It shows the exchange rate of the two currencies conversion. It also shows the history chart of this currency pairs, by choosing the time period you can get more detailed information. Would you like to invert the currencies pairs? Please visit Euro(EUR) To Hungarian Forint(HUF) .
Selling 8100 HUF you get 25.78241 EUR Buying 8100 HUF you pay 25.82258 EUR
Exchange Rates Updated: Mar 26,2016 09:06 UTC
8100(CZK) Czech Koruna(CZK) To Euro(EUR)
Czech Koruna(CZK) To Euro(EUR)
This is the page of Czech Koruna (CZK) to Euro (EUR) conversion, below you can find the latest exchange rate between them and is updated every 1 minutes. It shows the exchange rate of the two currencies conversion. It also shows the history chart of this currency pairs, by choosing the time period you can get more detailed information. Would you like to invert the currencies pairs? Please visit Euro(EUR) To Czech Koruna(CZK) .
Selling 8100 CZK you get 299.0836 EUR Buying 8100 CZK you pay 299.62592 EUR
Exchange Rates Updated: Mar 26,2016 09:06 UTC
8100(MUR) Mauritius Rupee(MUR) To United States Dollar(USD)
Mauritius Rupee(MUR) To United States Dollar(USD)
This is the page of Mauritius Rupee (MUR) to United States Dollar (USD) conversion, below you can find the latest exchange rate between them and is updated every 1 minutes. It shows the exchange rate of the two currencies conversion. It also shows the history chart of this currency pairs, by choosing the time period you can get more detailed information. Would you like to invert the currencies pairs? Please visit United States Dollar(USD) To Mauritius Rupee(MUR) .
Selling 8100 MUR you get 227.65599 USD Buying 8100 MUR you pay 228.61981 USD
Exchange Rates Updated: Mar 26,2016 09:06 UTC
8100(DKK) Danish Krone(DKK) To Euro(EUR)
Danish Krone(DKK) To Euro(EUR)
This is the page of Danish Krone (DKK) to Euro (EUR) conversion, below you can find the latest exchange rate between them and is updated every 1 minutes. It shows the exchange rate of the two currencies conversion. It also shows the history chart of this currency pairs, by choosing the time period you can get more detailed information. Would you like to invert the currencies pairs? Please visit Euro(EUR) To Danish Krone(DKK) .
Selling 8100 DKK you get 1086.23338 EUR Buying 8100 DKK you pay 1087.06184 EUR
Exchange Rates Updated: Mar 26,2016 09:06 UTC
8100(GBP) British Pound(GBP) To Euro(EUR)
British Pound(GBP) To Euro(EUR)
This is the page of British Pound (GBP) to Euro (EUR) conversion, below you can find the latest exchange rate between them and is updated every 1 minutes. It shows the exchange rate of the two currencies conversion. It also shows the history chart of this currency pairs, by choosing the time period you can get more detailed information. Would you like to invert the currencies pairs? Please visit Euro(EUR) To British Pound(GBP) .
Selling 8100 GBP you get 10245.96808 EUR Buying 8100 GBP you pay 10255.49746 EUR
Exchange Rates Updated: Mar 26,2016 09:06 UTC
8100(BGN) Bulgarian Lev(BGN) To Euro(EUR)
Bulgarian Lev(BGN) To Euro(EUR)
This is the page of Bulgarian Lev (BGN) to Euro (EUR) conversion, below you can find the latest exchange rate between them and is updated every 1 minutes. It shows the exchange rate of the two currencies conversion. It also shows the history chart of this currency pairs, by choosing the time period you can get more detailed information. Would you like to invert the currencies pairs? Please visit Euro(EUR) To Bulgarian Lev(BGN) .
Selling 8100 BGN you get 4128.82427 EUR Buying 8100 BGN you pay 4146.97411 EUR
Exchange Rates Updated: Mar 26,2016 09:06 UTC
8100(VND) Vietnam Dong(VND) To Euro(EUR)
Vietnam Dong(VND) To Euro(EUR)
This is the page of Vietnam Dong (VND) to Euro (EUR) conversion, below you can find the latest exchange rate between them and is updated every 1 minutes. It shows the exchange rate of the two currencies conversion. It also shows the history chart of this currency pairs, by choosing the time period you can get more detailed information. Would you like to invert the currencies pairs? Please visit Euro(EUR) To Vietnam Dong(VND) .
Selling 8100 VND you get 0.32495 EUR Buying 8100 VND you pay 0.32504 EUR
Exchange Rates Updated: Mar 26,2016 09:06 UTC
Candles are observed to undergo minor retracement on the daily chart. Currently, there are no clear signs of a retracement or reversal and give the strong bearish momentum of the pair, it is highly expected that the pair resumes its bearish momentum soon.
The pair was observed to break out of the triangle and continues to hold its support at 0.8089.
The pair initially exhausted at Fibonacci extension 161.8% at 0.8158 and came back down. If candles continue to hold above 0.8122, forming a higher low, it is possible that the pair would be on a short term bull.
Trend Direction
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AUD/USD continued its plunge as it approaches the 0.8100 area which serves as a multi-year low, as well as a psychological support level. The fall was further fueled this week by the disappointing Australian GDP figure which was 0.3, as opposed to expectation of 0.7. Today, the dollar strengthened across board as the NFP figures showed that about 321k jobs where added in November, which was way better than expected. We will look to continue to sell this pair on replacements upwards until we get good confirmation of an end in the bearish trend.
Pepperstone adds MetaTrader 4 for Apple Mac OSX to its list of compatible platforms
8/12/14 EUR/USD closes the week below 1.2300 as dollar bulls regain strength.
All materials contained on this site are protected by the European Union copyright law and may not be reproduced, distributed, transmitted, displayed, published or broadcast without a prior written permission by the AtoZ FOREX management. Usted no puede alterar o eliminar cualquier marca registrada, copyright u otro aviso de copias del contenido. All the given information on this page is subject to change. The use of this website constitutes acceptance of AtoZ FOREX user agreement. Please read the privacy policy and legal disclaimer.
FOREX and CFDs are leveraged products and involve a high level of risk. It is possible to lose all your capital. These products may not be suitable for everyone and you should ensure that you understand the risks involved. Busque asesoramiento independiente si es necesario.
Registering on AtoZFOREX. com or submitting your email by any other means users agree AtoZ FOREX periodically sending email updates and/or proposals from selected sponsors. You may choose to unsubscribe from this list at any time you wish.
Opinions expressed at AtoZ FOREX belong to those of individual authors and do not necessarily represent the opinion of AtoZ FOREX or its management. Any commentary, opinion, news, research, analyses or any other type of information provided by AtoZ FOREX, its employees, partners or contributors, is provided as general market commentary and does not constitute investment advice. AtoZ FOREX will not accept liability for any loss or damage, including without limitation to, any loss of profit, which may arise directly or indirectly from use of or reliance on such information.
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8100(ARS) Peso argentino(ARS) Para Dólar estadounidense(USD)
Peso argentino(ARS) Para Dólar estadounidense(USD)
Esta es la página de Peso argentino (ARS) Para Dólar estadounidense (USD) la conversión, a continuación se encuentra la tasa de cambio entre ellos y se actualiza cada 1 minuto. Muestra el tipo de cambio de la conversión de dos monedas. También se muestra el gráfico de la historia de esta pares de divisas, eligiendo el periodo de tiempo se puede obtener información más detallada. Le gustaría invertir los pares de divisas? Por favor, visite Dólar estadounidense(USD) Para Peso argentino(ARS) .
Selling 8100 ARS you get 557.6976 USD Buying 8100 ARS you pay 557.85508 USD
Tipo de Cambio Actualizado: Mar 26,2016 09:06 UTC
8100 RONs to MAD (RON MAD) Exchange Rates
Learn how to get the best Romanian exchange rate before exchanging your money
The Romanian New Leu is the official Romanian currency. RON/MAD represents the value of Romanian money in Moroccan money and it is called the 'exchange rate' or 'forex rate'. This exchange rate from Romanian New Leu to Moroccan Dirham is today at 2.440.
As an example, suppose you are from Rabat Morocco and you travel to Bucharest Romania. There, you need to get 1000 Romanian New Leus (l) at a Bucharest bank to pay your hotel. In this case you would pay 2.440 * 1000 = 2440 Moroccan Dirhams (Dh). But, in practice, you will pay more (or perhaps much more) to get the same amount of your foreign currency due to the margin for the money conversion services costs like: commissions, credit card surcharges, ATM fees and other expenses. If, for example, you are using a credit card, this margin will typically be around 2 to 3 percent. We recommend that you choose the best place to make your money exchange because there can be a large difference between forex rates you will get..
In the example above for a 1000 Romanian New Leus amount, the result of the money conversion is 2488.8 MAD for a 2% margin or 2513.2 MAD for a 3% margin.
Some Internet based foreign currency exchange agencies add 10 percent or even more. So, if you make the same calculations above, there will be a difference of about 244 MAD depending on which forex bank or agency you choose to exchange your money. So, that's why we advise you to seek the best place to get the best fx rates for your upcoming money transfer/exchange. The only way to know what is the best exchange rate is to know what the current rate is. You can easily accomplish this by using periodically our currency converter above to get an idea of what forex rate to expect.
Note: If you use our currency converter, you only need to choose the amount of margin in its drop-down list and have an estimate of how much you will pay to get the desired amount.
By the way: there are some notations for this currency pair like RON-MAD or RONMAD among others. The currency symbol for Romanian New Leu is (l) while the currency symbol for Moroccan Dirham is (Dh). Note also that the Romania country code is ROU or RO. The Morocco country code is MAR or MA
Romanian New Leu Converters
USD/BRL - US Dollar Brazil Real
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How did you get stopped out, we have been about the 1hr 200ma for 5 days
I don't sent my commission cost stops at order. It's usually done when the intended trend fails by a lot or when I expect the trend never to reverse again for the rest of the trade. My days went something like this:
03-22-2016, 07:47 PM
looking at the AUDUSD we have a clear trend change, Double bottom, price above 200ma, 34ma crossing above the 200ma, now last area of strong resistance is 0.7600 if we clear that then look for 0.8100
The only thing that can stop this uptrend is central bank action, you see a big reversal candle after central bank action then you know the party is over
03-22-2016, 08:04 PM
AUDNZD head and shoulder
Is this the week we verify our inverse Head and Shoulder in AUDNZD. We are sitting just below 1.1300, I need to see a weekly close above that level. If we get it, this could be a big one
03-22-2016, 08:33 PM
If you are like me you are enjoying this ride down in USDCAD. If that ride is to continue we need oil prices to keep climbing. looking at the weekly chart of crude oil index, we are at a critical point with price hitting the 40 week moving average, the last two times we rallied up to this moving average, price fell to new lows, will it happen again?
03-23-2016, 06:49 PM
Strong weak rankings for Wednesday, some pretty good pull backs today
03-24-2016, 05:11 PM
Strong weak rankings for Thursday, good day for GBP, weakness in the Yen
I am watching AUDUSD, after a week of pull backs we had a little pin bar today, this could signal pullback is over
03-24-2016, 11:03 PM
The Strong and the Weak
Year to date the strongest moves have been to the down side.
extreme movers bring lots of trading opportunities. we will need to watch these either as they continue current trend or a trend reversal
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» 8100 JPY to USD Conversion - Money Exchange Calculator
Convert 8100 Japanese Yen (JPY) to US Dollar (USD)
Exchange rates used for currency conversion updated on 26th March 2016 ( 26/03/2016 )
Below you will find the latest exchange rate for exchanging Japanese Yen (JPY) to US Dollar (USD) . a table containing most common conversions and a chart with the pair's evolution. The Japanese Yen (JPY) to US Dollar (USD) rates are updated every minute using our advanced technology for live forex currency conversion. Check back in a few days for things to buy with this amount and information about where exactly you can exchange currencies om;ine and offline.
8100 JPY = 75.33 USD
*Disclaimer: AVERAGE intraday quotes were used for this conversion. The exchange rate the system calculated between Japanese Yen and US Dollar on 26/03/2016 is 1 JPY = 0.0093 USD
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Convert 8100 JPY / 8100 USD to major currencies
About Japanese Yen (JPY)
Under the monetary policy and issuance directives of the Bank of Japan the JPY, when measured by value, is the world's third largest reserve currency and fourth most traded currency in open currency markets. It is the official currency of Japan and has shown contrarian resilience against world markets initially in the 1980's and more recently in the 2008 world credit crisis as the Bank of Japan retains there command economic policies while refusing to engage in economic stimulus.
About US Dollar (USD)
The privately owned and government sanctioned United States Federal Reserve Bank manages the monetary policy for the United States dollar (USD). The USD is the the worlds most widely held reserve currency and the most traded currency in world currency trading markets. The USD is official currency in 14 countries and the unofficial or de facto currency in 37 others. The US dollar is the second largest currency in circulation having been surpassed by the euro. The USD is a floating fiat currency.
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8100(MXN) Peso mexicano(MXN) Para Dólar estadounidense(USD)
Peso mexicano(MXN) Para Dólar estadounidense(USD)
Esta es la página de Peso mexicano (MXN) Para Dólar estadounidense (USD) la conversión, a continuación se encuentra la tasa de cambio entre ellos y se actualiza cada 1 minuto. Muestra el tipo de cambio de la conversión de dos monedas. También se muestra el gráfico de la historia de esta pares de divisas, eligiendo el periodo de tiempo se puede obtener información más detallada. Le gustaría invertir los pares de divisas? Por favor, visite Dólar estadounidense(USD) Para Peso mexicano(MXN) .
Selling 8100 MXN you get 461.12332 USD Buying 8100 MXN you pay 461.74368 USD
Tipo de Cambio Actualizado: Mar 26,2016 09:06 UTC
8100(CLP) Peso chileno(CLP) Para Dólar estadounidense(USD)
Peso chileno(CLP) Para Dólar estadounidense(USD)
Esta es la página de Peso chileno (CLP) Para Dólar estadounidense (USD) la conversión, a continuación se encuentra la tasa de cambio entre ellos y se actualiza cada 1 minuto. Muestra el tipo de cambio de la conversión de dos monedas. También se muestra el gráfico de la historia de esta pares de divisas, eligiendo el periodo de tiempo se puede obtener información más detallada. Le gustaría invertir los pares de divisas? Por favor, visite Dólar estadounidense(USD) Para Peso chileno(CLP) .
Selling 8100 CLP you get 11.89148 USD Buying 8100 CLP you pay 11.89768 USD
Tipo de Cambio Actualizado: Mar 26,2016 09:06 UTC
8100(CHF) Franco suizo(CHF) Para Euro(EUR)
Franco suizo(CHF) Para Euro(EUR)
Esta es la página de Franco suizo (CHF) Para Euro (EUR) la conversión, a continuación se encuentra la tasa de cambio entre ellos y se actualiza cada 1 minuto. Muestra el tipo de cambio de la conversión de dos monedas. También se muestra el gráfico de la historia de esta pares de divisas, eligiendo el periodo de tiempo se puede obtener información más detallada. Le gustaría invertir los pares de divisas? Por favor, visite Euro(EUR) Para Franco suizo(CHF) .
Selling 8100 CHF you get 7415.34137 EUR Buying 8100 CHF you pay 7421.54837 EUR
Tipo de Cambio Actualizado: Mar 26,2016 09:06 UTC
8100(USD) Dólar estadounidense(USD) Para Rupia india(INR)
Dólar estadounidense(USD) Para Rupia india(INR)
Esta es la página de Dólar estadounidense (USD) Para Rupia india (INR) la conversión, a continuación se encuentra la tasa de cambio entre ellos y se actualiza cada 1 minuto. Muestra el tipo de cambio de la conversión de dos monedas. También se muestra el gráfico de la historia de esta pares de divisas, eligiendo el periodo de tiempo se puede obtener información más detallada. Le gustaría invertir los pares de divisas? Por favor, visite Rupia india(INR) Para Dólar estadounidense(USD) .
Selling 8100 USD you get 541443.69 INR Buying 8100 USD you pay 541817.1 INR
Tipo de Cambio Actualizado: Mar 26,2016 09:06 UTC
8100(USD) Dólar estadounidense(USD) Para Peso chileno(CLP)
Dólar estadounidense(USD) Para Peso chileno(CLP)
Esta es la página de Dólar estadounidense (USD) Para Peso chileno (CLP) la conversión, a continuación se encuentra la tasa de cambio entre ellos y se actualiza cada 1 minuto. Muestra el tipo de cambio de la conversión de dos monedas. También se muestra el gráfico de la historia de esta pares de divisas, eligiendo el periodo de tiempo se puede obtener información más detallada. Le gustaría invertir los pares de divisas? Por favor, visite Peso chileno(CLP) Para Dólar estadounidense(USD) .
Selling 8100 USD you get 5514520.5 CLP Buying 8100 USD you pay 5517396 CLP
Tipo de Cambio Actualizado: Mar 26,2016 09:06 UTC
8100(COP) Peso colombiano(COP) Para Dólar estadounidense(USD)
Peso colombiano(COP) Para Dólar estadounidense(USD)
Esta es la página de Peso colombiano (COP) Para Dólar estadounidense (USD) la conversión, a continuación se encuentra la tasa de cambio entre ellos y se actualiza cada 1 minuto. Muestra el tipo de cambio de la conversión de dos monedas. También se muestra el gráfico de la historia de esta pares de divisas, eligiendo el periodo de tiempo se puede obtener información más detallada. Le gustaría invertir los pares de divisas? Por favor, visite Dólar estadounidense(USD) Para Peso colombiano(COP) .
Selling 8100 COP you get 2.63436 USD Buying 8100 COP you pay 2.63586 USD
Tipo de Cambio Actualizado: Mar 26,2016 09:06 UTC
EURGBP - Looks To Extend Recovery
EURGBP - With EURGBP stopping its weakness and turning higher the past week, further recovery is envisaged in the new week.
On the upside, resistance lies at the 0.8000 level followed by the 0.8050 level where a violation if seen will turn focus to the 0.8100 level. On further upside, a breach of the 0.8100 level will set the stage for a run at the 0.8150 level and subsequently the 0.8200 level.
On the downside, support lies the 0.7950 level where a break will expose the 0.7900 level. Further down, support comes in at the 0.7850 level where a violation will turn attention to the 0.7800 level. All in all, the cross is biased to the downside in the medium term.
About Author
FX Tech Strategy provides simple forex research for Intra-day, swing and position traders. For over 6 years, FXTechstrategy has been committed to providing forex traders including intra-day, swing and position traders exceptional forex research with technical analysis expertise that makes trading decisions easy and painless. FXTchstrategy won Best Technical Analysis (forex best awards) by fxstreet in 2011 and was finalists, Star Awards by traderplanet in 2011 & 2012.
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8100(PLN) Polnischer Zloty(PLN) Zu Euro(EUR)
Polnischer Zloty(PLN) Zu Euro(EUR)
Dies ist die Seite des Polnischer Zloty (PLN) zu Euro (EUR) Konvertierung, unten können Sie die aktuelle Wechselkurs zwischen sie zu finden und wird alle 1 Minuten aktualisiert. Es zeigt den Wechselkurs der beiden Währungen Konvertierung. Es zeigt auch die Geschichte Diagramm dieser Währungspaare, indem Sie den Zeitraum können Sie detaillierte Informationen zu erhalten. Möchten Sie die Währungspaars zu invertieren? Bitte besuchen Sie Euro(EUR) Zu Polnischer Zloty(PLN) .
Selling 8100 PLN you get 1898.56335 EUR Buying 8100 PLN you pay 1901.87389 EUR
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8100(MXN) Peso mexicano(MXN) Para Peso colombiano(COP)
Peso mexicano(MXN) Para Peso colombiano(COP)
Esta es la página de Peso mexicano (MXN) Para Peso colombiano (COP) la conversión, a continuación se encuentra la tasa de cambio entre ellos y se actualiza cada 1 minuto. Muestra el tipo de cambio de la conversión de dos monedas. También se muestra el gráfico de la historia de esta pares de divisas, eligiendo el periodo de tiempo se puede obtener información más detallada. Le gustaría invertir los pares de divisas? Por favor, visite Peso colombiano(COP) Para Peso mexicano(MXN) .
Selling 8100 MXN you get 1417031.95983 COP Buying 8100 MXN you pay 1419746.38301 COP
Tipo de Cambio Actualizado: Mar 26,2016 09:06 UTC
8100(GBP) Libra esterlina(GBP) Para Euro(EUR)
Libra esterlina(GBP) Para Euro(EUR)
Esta es la página de Libra esterlina (GBP) Para Euro (EUR) la conversión, a continuación se encuentra la tasa de cambio entre ellos y se actualiza cada 1 minuto. Muestra el tipo de cambio de la conversión de dos monedas. También se muestra el gráfico de la historia de esta pares de divisas, eligiendo el periodo de tiempo se puede obtener información más detallada. Le gustaría invertir los pares de divisas? Por favor, visite Euro(EUR) Para Libra esterlina(GBP) .
Selling 8100 GBP you get 10245.96808 EUR Buying 8100 GBP you pay 10255.49746 EUR
Tipo de Cambio Actualizado: Mar 26,2016 09:06 UTC
8100(AED) UAEDirham(AED) Zu Euro(EUR)
UAEDirham(AED) Zu Euro(EUR)
Dies ist die Seite des UAEDirham (AED) zu Euro (EUR) Konvertierung, unten können Sie die aktuelle Wechselkurs zwischen sie zu finden und wird alle 1 Minuten aktualisiert. Es zeigt den Wechselkurs der beiden Währungen Konvertierung. Es zeigt auch die Geschichte Diagramm dieser Währungspaare, indem Sie den Zeitraum können Sie detaillierte Informationen zu erhalten. Möchten Sie die Währungspaars zu invertieren? Bitte besuchen Sie Euro(EUR) Zu UAEDirham(AED) .
Selling 8100 AED you get 1974.73326 EUR Buying 8100 AED you pay 1975.71195 EUR
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8100(GBP) Britisches Pfund(GBP) Zu Euro(EUR)
Britisches Pfund(GBP) Zu Euro(EUR)
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Selling 8100 GBP you get 10245.96808 EUR Buying 8100 GBP you pay 10255.49746 EUR
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8100(USD) USA Dollaro(USD) A Euro(EUR)
USA Dollaro(USD) A Euro(EUR)
Questa è la pagina di USA Dollaro (USD) a Euro (EUR) di conversione, di seguito puoi trovare le ultime tasso di cambio tra di loro e viene aggiornata ogni 1 minuti. Esso mostra il tasso di cambio della conversione di due valute. Essa mostra anche il grafico di storia di questo coppie di valute, scegliendo il periodo di tempo è possibile ottenere informazioni più dettagliate. Ti piacerebbe invertire le coppie di valute? Si prega di visitare Euro(EUR) A USA Dollaro(USD) .
Selling 8100 USD you get 7255.17 EUR Buying 8100 USD you pay 7256.79 EUR
Tasso di cambio Aggiornato: Mar 26,2016 09:06 UTC
Buy at 0.8300, Target: 0.8400, Stop: 0.8265
Although the single currency has risen again after brief pullback and further gn to 0.8380 is likely, loss of near term upward momentum should prevent sharp move beyond 0.8400-10 today, risk from there has increased for correction to 0.8320 but renewed buying interest should emerge around 0.8300 and bring another rise later. Looking ahead, above 0.8400-10 would extend the rise from 0.8158 low for at least a retracement of recent decline towards previous resistance at 0.8467.
In view of this, we are looking to buy euro again on pullback. Below previous resistance at 0.8268 would defer and risk weakness to 0.8220, however, only break of last week's low of 0.8204 would abort and signal top is formed instead, risk weakness to previous support at 0.8191, once this level is penetrated, this would shift risk to downside and signal correction from 0.8158 has ended, then retest of this level would follow. Looking ahead, only break there would extend recent decline from 0.8769 in final leg of wave (c) to 0.8130-35 (100% projection of 0.8585-0.8252 measuring from 0.8467) but reckon 0.8100 would limit downside and bring rebound later.
Our preferred count is that, after forming a major top at 0.9805 (wave V), (A)-(B)-(C) correction is unfolding with (A) leg ended at 0.8400 (A: 0.8637, B: 0.9491 and 5-waver C ended at 0.8400. Wave (B) has ended at 0.9413 and impulsive wave (C) has either ended at 0.8067 or may extend one more fall to 0.8000 before prospect of another rally. Current breach of indicated resistance at 0.9043 confirms our view that the (C) leg has ended and bring stronger rebound towards 0.9150/54, then towards 0.9240/50.
Sobre el Autor
Candlesticks Intraday Trade Ideas Update Schedule (GMT): 1st Update: 0630 - 0700; 2nd Update: 0930 - 1000; 3rd Update: 1230 - 1300; 4th Update: 1500 - 1530 Pairs Covered: EUR/USD, USD/JPY, GBP/USD, USD/CHF
Elliott Wave Daily Trade Ideas Update Schedule (GMT): AUD/USD, EUR/JPY: 0800 - 0830; EUR/GBP, USD/CAD: 1430 - 1500 GMT
8100(ARS) Peso argentino(ARS) Para Peso chileno(CLP)
Peso argentino(ARS) Para Peso chileno(CLP)
Esta es la página de Peso argentino (ARS) Para Peso chileno (CLP) la conversión, a continuación se encuentra la tasa de cambio entre ellos y se actualiza cada 1 minuto. Muestra el tipo de cambio de la conversión de dos monedas. También se muestra el gráfico de la historia de esta pares de divisas, eligiendo el periodo de tiempo se puede obtener información más detallada. Le gustaría invertir los pares de divisas? Por favor, visite Peso chileno(CLP) Para Peso argentino(ARS) .
Selling 8100 ARS you get 379683.31727 CLP Buying 8100 ARS you pay 379988.56741 CLP
Tipo de Cambio Actualizado: Mar 26,2016 09:07 UTC
8100(CLP) Peso chileno(CLP) Para Peso argentino(ARS)
Peso chileno(CLP) Para Peso argentino(ARS)
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Selling 8100 CLP you get 172.66309 ARS Buying 8100 CLP you pay 172.8019 ARS
Tipo de Cambio Actualizado: Mar 26,2016 09:07 UTC
8100(EUR) Euro(EUR) Para Peso mexicano(MXN)
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Selling 8100 EUR you get 158602.32169 MXN Buying 8100 EUR you pay 158851.15552 MXN
Tipo de Cambio Actualizado: Mar 26,2016 09:07 UTC
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As I said in the previous forecast of NZDUSD. the pair faced a firm barrier at 0.8100 and lost its upward momentum for several days. NZDUSD has then climbed again after bottoming at 0.7740, and it is aiming to test the 0.8100 resistance the second time.
So, what’s next for NZDUSD? To predict the future of NZDUSD, we have to look at the general tone of the forex market where EURUSD always plays a key role. I think EURUSD is not ripe enough for a sharp drop right in this week. The momentum of EURUSD still remains upward, and there will still be some room for EURUSD to push up a little bit. In a situation that NZD, AUD, CAD, GBP… have fallen so much against USD, any slight rise of EURUSD will provide a ground for these currencies to rally, perhaps very hard.
In conclusion, my forecast is that EURUSD will go up slightly, or at least move sideways this week. This brings a good condition for NZDUSD to break through the 0.8100 barrier.
A joke, but not a joke. Don’t be tempted by opportunities that look apparently sexy.
Participants of the present forex market can be classified most exactly into the following groups.
Central Banks
FED – Federal Reserve System of the USA
PBoC – People’s Bank of China
ECB – European Central Bank
BoE – Bank of England (the oldest bank in the world, also known as “Old Lady”)
BoJ – Bank of Japan
BoC – Bank of Canada
RBA – Reserve Bank of Australia
RBNZ – Reserve Bank of New Zealand
SNB – Swiss National Bank
Commercial Banks
Marketmaker-banks (banks making market rates): They are actively engaged in the market, not only concerning their clients’ requests, but also accomplishing their own strategies.
Banks-marketusers (banks using market rates): They basically specialize in working on their clients’ requests.
The biggest among them are: CitiGroup (USA), HSBC (UK), Deutsche Bank (Germany), CSFB (Switzerland), Bank of Tokyo-Mitsubishi (Japan), Barclays Capital (UK), ABN Amro Bank (Netherlands), Bank of America (USA), RBC Dominion Securities (Canada), Morgan Stanley (USA).
Exchanges
NZХ – New Zealand Stock Exchange
ASX – Australian Securities Exchange
TSE – Tokyo Stock Exchange
HKE – Hong Kong Stock Exchange
SES – Stock Exchange of Singapore
DBG – Frankfurt Bourse
TLSE – The Luxembourg Stock Exchange
SWX – Swiss Stock Exchange
PSE – Paris Stock Exchange
LSE – London Stock Exchange
NYSE – New York Stock Exchange
CHX – Chicago Stock Exchange
PCX – Pacific Exchange
Financial Institutions
Brokerage and dealing firms: They carry out trading activities at their own costs. Their client network mostly consists of private investors.
Consulting organizations, mutual funds and hedging companies.
Multi-national corporations: Apple, Dell, Google, Samsung…
Private Investors
Private investors are people who trade forex using their own money, on their personal accounts (rather than a corporation, partnership, proprietorship or any other entity).
So, who are private investors? They are us, all retail forex traders .
This is a complete trading guide for forex beginners – a simple, original, and effective guide that you have never seen before. Believe me, if you strictly follow this forex trading guide, you will never have to regret trying forex much. There are just 2 possibilities:
You can finally become a successful trader: this forex trading guide will save you a lot of time, shortening your road to trading success.
You can never manage to become a successful trader (due to the innate lack of important characteristics): this forex trading guide will minimize your financial loss.
2 Vital Rules of Capital Protection
Firstly, we need to clarify 2 vital rules that you must strictly apply in your entire trading career.
1. Leverage use: The volume for each trading idea must never exceed 0.05 lot per $1,000 equity. For example, if you have an equity of $100,000, your maximum volume per trading idea is 5 lots.
2. Risk limit: You must risk no more than 5% capital per trading idea. For example, if you have an equity of $100,000, your maximum loss per trading idea is $5,000.
NOTE: We define leverage use and risk limit for trading idea . not for positions. If you go long GBP/USD, short USD/JPY, and long AUD/USD simultaneously, that’s just one idea (betting on the weakness of USD against other currencies).
Complete Forex Trading Guide, Level by Level
In this forex trading guide, there are 5 levels that you have to practice, one by one. In each and every level, please remember to strictly follow 2 vital rules of capital protection that has been defined above. Without surviving the market, you cannot learn anything to grow up.
LEVEL 1: Learn Basics
Learn everything you can from BabyPips’ School of Pipsology and ForexPeaceArmy’s Forex Military School. These are the most complete FREE forex education on the internet.
You can also study forex at ForexAdvantage. INFO’s Knowledge Library .
Use Google search to study any specific subject in depth. Google is one of the best university in the world (and free).
Practice time: 1-3 months, then go to the next level. You will have to constantly study forex throughout your trading career.
Open a demo account at a reputable forex broker of your choice. This should be exactly the broker where you will open your real account later on. I recommend FXCM, Dukascopy, Forex. com, Oanda.
Explore your demo account, get familiar with software features, make trades to figure out how your trading idea turns into profit or loss.
Practice time: 1-3 months, then go to the next level. Demo trading can never help you grow up; once you have mastered necessary things, be prepared to go with real trading.
LEVEL 3: Trade Small
Open a real account at the broker you have chosen in Level 2.
Deposit 1-5% of the total capital that you afford to invest in forex. Keep the rest in a bank for security and interest.
Trade your best, strictly applying 2 vital rules of capital protection (defined above).
Practice time: Until you make consistent profits for several months in a row, and your equity must be higher than the starting point of this level. If you cannot do this, NEVER go to the next level.
LEVEL 4: Trade Medium
Add funds to bring your account size to 30-50% of the total capital that you afford to invest in forex. Keep the rest in a bank for security and interest.
Trade your best, strictly applying 2 vital rules of capital protection (defined above).
Practice time: Until you make consistent profits for several months in a row, and your equity must be higher than the starting point of this level. If you cannot do this, NEVER go to the next level.
Add funds to bring your account size to 100% of the total capital that you afford to invest in forex.
Trade your best, strictly applying 2 vital rules of capital protection (defined above).
Practice time: Until you decide to retire .
How long does it take you to reach Level 5? There are no certain answers, but most professional traders agree that the average time required for a trader to grow up is 3 years . Your number may be a little greater or smaller (but don’t expect anything less than 1.5 years, because this is almost impossible even with an excellent mentor behind you).
Don’t hurry to finish a level, because this will usually lead to terrible results. Again, the best advice that I can give you is “If you cannot do this, NEVER go to the next level”. Perhaps you have been fed up with the sentence, but it will absolutely protect you from going bankrupt, for sure!
Mensaje de navegación
Forex Trade Idea: Long GBP/AUD
Posted 2 years ago | 11:45 PM | 8 July 2014 15 Comments
Thanks to the recent weakness in Australia’s economic reports. I’m switching to a bearish AUD bias! I’ll still be waiting for Australia’s jobs release, but I’m keeping my eyes glued on this potential long GBP/AUD play.
GBP/AUD 4-hour Forex Chart
From a technical perspective, I’m eyeing the support region at the area of interest right around the middle of the rising channel on the 4-hour time frame. Stochastic is already moving up from the oversold area, reflecting a return of bullish momentum, but price might still make a deeper pullback to my buy zone at the 1.8100-1.8150 levels.
Fundamentally speaking, the British pound seems to be on a much stronger footing compared to the Australian dollar. After all, the BOE is looking to hike interest rates before the end of the year in order to keep house price inflation contained. Meanwhile, Australia is facing government budget cuts and AUD can keep getting weighed down by the RBA’s cautious bias.
Although China did show some signs of a rebound in manufacturing recently, the positive effect on Australia’s trade industry and overall economic performance may take a while to kick in. With that, I’m still favoring the pound for now, as the U. K. has been printing consistently upbeat data so far.
I haven’t set any entry orders yet, as I plan to watch the Australian jobs release before deciding where exactly to buy. A strong report could allow me to enter a long trade at a good price closer to the channel support while a weak report might convince me to enter at market.
I’ll keep y’all posted!
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8100(CHF) Franc Suisse(CHF) À Euro(EUR)
Franc Suisse(CHF) À Euro(EUR)
Ceci est la page de Franc Suisse (CHF) à Euro (EUR) conversion, vous pouvez trouver le taux de change plus tard entre eux et est mis à jour toutes les 1 minutes. Il montre le taux de la conversion de deux monnaies d'échange. Il montre également le tableau de cette paires de devises de l'histoire, en choisissant la période de temps, vous pouvez obtenir des informations plus détaillées. Souhaitez-vous pour inverser les paires de devises? S'il vous plaît visitez Euro(EUR) À Franc Suisse(CHF) .
Selling 8100 CHF you get 7415.34137 EUR Buying 8100 CHF you pay 7421.54837 EUR
Taux de change mise à jour: Mar 26,2016 09:07 UTC
8100(DKK) Dänische Krone(DKK) Zu Euro(EUR)
Dänische Krone(DKK) Zu Euro(EUR)
Dies ist die Seite des Dänische Krone (DKK) zu Euro (EUR) Konvertierung, unten können Sie die aktuelle Wechselkurs zwischen sie zu finden und wird alle 1 Minuten aktualisiert. Es zeigt den Wechselkurs der beiden Währungen Konvertierung. Es zeigt auch die Geschichte Diagramm dieser Währungspaare, indem Sie den Zeitraum können Sie detaillierte Informationen zu erhalten. Möchten Sie die Währungspaars zu invertieren? Bitte besuchen Sie Euro(EUR) Zu Dänische Krone(DKK) .
Selling 8100 DKK you get 1086.23338 EUR Buying 8100 DKK you pay 1087.06184 EUR
Wechselkurse Aktualisiert: Mar 26,2016 09:07 UTC
8100(JPY) Yen Japonais(JPY) À Euro(EUR)
Yen Japonais(JPY) À Euro(EUR)
Ceci est la page de Yen Japonais (JPY) à Euro (EUR) conversion, vous pouvez trouver le taux de change plus tard entre eux et est mis à jour toutes les 1 minutes. Il montre le taux de la conversion de deux monnaies d'échange. Il montre également le tableau de cette paires de devises de l'histoire, en choisissant la période de temps, vous pouvez obtenir des informations plus détaillées. Souhaitez-vous pour inverser les paires de devises? S'il vous plaît visitez Euro(EUR) À Yen Japonais(JPY) .
Selling 8100 JPY you get 64.13693 EUR Buying 8100 JPY you pay 64.17679 EUR
Taux de change mise à jour: Mar 26,2016 09:07 UTC
Kiwi testing support here at 0.8100/05 next support at 0.8050/55.
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Cross-Eyeing: EUR/GBP – Close Trade
Posted 8 years ago | 11:25 AM | 2 September 2008 2 Comments
Close Trade: 2008-09-02 11:25
The Sterling continued to take a pounding this week as EUR/GBP opened up rallying to .8100 and above. My short trade was triggered and quickly found resistance around .8150, holding the British Pound sell off at bay for now.
While my trade idea was mostly based on technical reasons, I feel the fundamentals are going to win this one out. The UK government has made efforts to help the housing market recover, but it appears traders see recession as a real possibility and continue to price in rate cuts into the Sterling. The BOE does have an interest rate decision this week, and while it is widely expected they will hold, the MPC has surprised the market a time or two in recent years. I’d rather not guess whether they will hold or cut, so I’ve decided to close my position out for a small loss.
Trade Closed at market (.8134)
Total: -34 pips/ -0.34%
If price action can be sustained above .8100, we may be seeing a breakout and a new leg higher for the pair in favor for the Euro. We’ll just have to wait and see.
Trade Idea: 2008-08-28 13:19
Here’s another chart idea on EUB/GBP. While I took a hit on surprise volatility the last time, I’m not going to be shaken out and miss a possible opportunity.
I have a daily chart up with horizontal lines drawn to market minor and major support/resistance levels. As we can see, the pair is now heading up to major resistance at .8100 where the pair stopped, reversed, and fell all the way back to .7800. Will it do it again? I don’t know and I’m not going to try to predict if it will or not, but I do know that traders will be watching that area once again.
What’s happening with the pair fundamentally? Basically, the doom and gloom of the UK economy, more importantly housing sector, is getting price in while ECB jawbones that they will stay vigilant on inflation, thus negating the idea of Eurozone rate cuts. Sooner or later, UK weakness will be priced in fully and possibly overdone, while the Eurozone will have to shift it’s focus to economic growth as Eurozone data begins to show weakness now. Also, as commodity prices pull back, inflation pressures should give the ECB a little bit of breathing room. Whether this all plays out we’ll just have to wait and see, but my guess is that at .8100 the Euro may be overvalued against the Sterling once again. Of course, if I am completely wrong, I’ll have my stop to protect me. Here’s what I’m going to do:
Short EUR/GBP at .8100, stop at .8200, pt1 at .8000, pt2 at .7850
Remember to never risk more than 1% of a trading account on any single trade. For those who have never demo traded EUR/GBP before, that value per pip is almost double that of EUR/USD. Adjust position sizes to stay within risk perameters.
So, if this trade triggers, I look to hold onto it for quite some time. That’s okay as the interest differential favors my short position. Stay tuned!
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I think this is a very good trade. Although we have seen a massive drop in the EUR/USD from 1.6040 to about 1.4570, this doens’t appear to be coming from a EURO weakness but rather a strengthening USD. This suggests that the EUR is yet to show its own depreciation.
To expand on my point, I looked at major EUR crosses and they are prettey mixed with relatively high volatility but on the weekly chart there are no major new trends or moves. The EUR/JPY is an exception which has dropped as the USD/JPY fails to sustain a breakout from the 108.50. Also the EUR/AUD is a second exception where the Euro has appreciated to the strong decpreciation in the AUD.
Now let’s keep in mind two things. The EUR has appreciated about 1000 pips to the GBP since october 2007. Which is around the same time when the pound made its first massive drop to the USD from 2.1 to 1.93.
Now the time has come for the EUR to go down. The fundementals are against the EUR. With contraction in GDP and a weaking industrial production followed by a weakining domestic consumption the outlook for the EUR indeed looks bearish. The european economy is not immune. It heavily relies on the US and GB economies. It might just not suffer as much as the american and british economies as a result of the easing of the CPI worldwide due to falling commodity prices. This will allow the ECB to lower intrest rate and stimulate the economy.
This theory only discusses that the EUR is going down not that the GBP is going up. I think the GBP/USD will find a good cushion at 1.8000-1.8100 due to the technical factors. These include support on the RSI on the daily chart. Both oversold stochastics and RSI. Also there is a divergence on the RSI. The MACD looks set to turn. Finally and most importantly the 1.8090 level is the lowest level the GBP has reached since it entered its upward channel in April 2006 and kept within it until December 2007.
Lastly, why trade EUR/GBP and not EUR/. Well i would defnitley not trade EUR/USD as the recent hike in USD could see a reversal. Although the EUR would be weakening simitanously, the USD would be weakening more and this would reasult in EUR/USD appreciating and you loosing your money. The risk reward ratio is not of my liking. A very good opportunity has opened up in EUR/AUD. The pair has reached a very strong resistance level. EUR/JPY has weakened too much and a rebounce could be seen as a result of JPY weakness as japan starts to show economic problems. The only reason i’m not trading EUR/AUD is because I haven’t kept a good eye on the Aussie economy but i personally think from the technicals that it looks very very promising. I might be proven wrong if the AUD decides to continue its dive.
My suggestion for the trade of EUR/GBP: – Sell 1/2 a position at 8.075 with a stop loss at 8.150 In case the price goes against you, sell the other half at: – Sell 1/2 a position at 8.100 with a stop loss at 8.200
Target: 1/2 position at 0.7600 Target: 1/2 position at 0.7400
After a 100 pips in your favour set stop as to break-even. Later cap in profit by lowering stop but allow more of a breathing space for your trade. Minimum 100 pips trailing stop. Suggested 150-200. This is a long term trade.
My only objection to the above trade is the risk reward ration. Sell at 0.8100. Stop at 0.8200. Limit at 0.8000. I might as well go play roulette. The is more room for the EUR/GBP to go down than just 0.8000.
I think this is a very good trade. Although we have seen a massive drop in the EUR/USD from 1.6040 to about 1.4570, this doens’t appear to be coming from a EURO weakness but rather a strengthening USD. This suggests that the EUR is yet to show its own depreciation.
To expand on my point, I looked at major EUR crosses and they are prettey mixed with relatively high volatility but on the weekly chart there are no major new trends or moves. The EUR/JPY is an exception which has dropped as the USD/JPY fails to sustain a breakout from the 108.50. Also the EUR/AUD is a second exception where the Euro has appreciated to the strong decpreciation in the AUD.
Now let’s keep in mind two things. The EUR has appreciated about 1000 pips to the GBP since october 2007. Which is around the same time when the pound made its first massive drop to the USD from 2.1 to 1.93.
Now the time has come for the EUR to go down. The fundementals are against the EUR. With contraction in GDP and a weaking industrial production followed by a weakining domestic consumption the outlook for the EUR indeed looks bearish. The european economy is not immune. It heavily relies on the US and GB economies. It might just not suffer as much as the american and british economies as a result of the easing of the CPI worldwide due to falling commodity prices. This will allow the ECB to lower intrest rate and stimulate the economy.
This theory only discusses that the EUR is going down not that the GBP is going up. I think the GBP/USD will find a good cushion at 1.8000-1.8100 due to the technical factors. These include support on the RSI on the daily chart. Both oversold stochastics and RSI. Also there is a divergence on the RSI. The MACD looks set to turn. Finally and most importantly the 1.8090 level is the lowest level the GBP has reached since it entered its upward channel in April 2006 and kept within it until December 2007.
Lastly, why trade EUR/GBP and not EUR/. Well i would defnitley not trade EUR/USD as the recent hike in USD could see a reversal. Although the EUR would be weakening simitanously, the USD would be weakening more and this would reasult in EUR/USD appreciating and you loosing your money. The risk reward ratio is not of my liking. A very good opportunity has opened up in EUR/AUD. The pair has reached a very strong resistance level. EUR/JPY has weakened too much and a rebounce could be seen as a result of JPY weakness as japan starts to show economic problems. The only reason i’m not trading EUR/AUD is because I haven’t kept a good eye on the Aussie economy but i personally think from the technicals that it looks very very promising. I might be proven wrong if the AUD decides to continue its dive.
My suggestion for the trade of EUR/GBP: – Sell 1/2 a position at 8.075 with a stop loss at 8.150 In case the price goes against you, sell the other half at: – Sell 1/2 a position at 8.100 with a stop loss at 8.200
Target: 1/2 position at 0.7600 Target: 1/2 position at 0.7400
After a 100 pips in your favour set stop as to break-even. Later cap in profit by lowering stop but allow more of a breathing space for your trade. Minimum 100 pips trailing stop. Suggested 150-200. This is a long term trade.
My only objection to the above trade is the risk reward ration. Sell at 0.8100. Stop at 0.8200. Limit at 0.8000. I might as well go play roulette. The is more room for the EUR/GBP to go down than just 0.8000.
NZD/USD Breaks Below .8200 Level (March 14, 2013)
NZD/USD got sold off strongly after the RBNZ announced its interest rate decision during today’s Asian session.
Even though the central bank kept rates on hold at 2.50% as expected, RBNZ head Graeme Wheeler commented that domestic economic activity is weak. A couple of reasons that he mentioned for this slowdown were the worsening drought conditions and the strength of the New Zealand dollar.
In fact, he pointed out in his speech a few hours later that he thinks the New Zealand dollar is overvalued by 10-15%, prompting traders to speculate that the RBNZ will engage in currency intervention if the Kiwi doesn’t return to their desired levels.
If you missed the initial reaction to the report, there’s still a chance to catch the rest of the move as European traders and U. S. session traders have yet to react to the news. Based on past price action following the RBNZ statement, NZD/USD typically makes a strong reaction right after the event then consolidates at the start of the London session, after which it makes a breakout in the same direction.
At the moment, NZD/USD is moving below the .8200 major psychological level and is consolidating around .8175, suggesting a potential breakdown later on. The selloff could last until the next minor psychological level of .8150 or possibly until the .8100 major psychological support. Take note that the U. S. is set to release its PPI and initial jobless claims later and that stronger than expected results typically boost the U. S. dollar.
Shorting at the break of .8175 with a stop above .8200 and a profit target around .8100 would yield a good reward-to-risk ratio for a day trade.
By Kate Curtis from Trader's Way
8100(SEK) Svezia Krona(SEK) A Euro(EUR)
Svezia Krona(SEK) A Euro(EUR)
Questa è la pagina di Svezia Krona (SEK) a Euro (EUR) di conversione, di seguito puoi trovare le ultime tasso di cambio tra di loro e viene aggiornata ogni 1 minuti. Esso mostra il tasso di cambio della conversione di due valute. Essa mostra anche il grafico di storia di questo coppie di valute, scegliendo il periodo di tempo è possibile ottenere informazioni più dettagliate. Ti piacerebbe invertire le coppie di valute? Si prega di visitare Euro(EUR) A Svezia Krona(SEK) .
Selling 8100 SEK you get 872.98094 EUR Buying 8100 SEK you pay 873.68047 EUR
Tasso di cambio Aggiornato: Mar 26,2016 09:07 UTC
8100(PLN) Polonia Zloty(PLN) A Euro(EUR)
Polonia Zloty(PLN) A Euro(EUR)
Questa è la pagina di Polonia Zloty (PLN) a Euro (EUR) di conversione, di seguito puoi trovare le ultime tasso di cambio tra di loro e viene aggiornata ogni 1 minuti. Esso mostra il tasso di cambio della conversione di due valute. Essa mostra anche il grafico di storia di questo coppie di valute, scegliendo il periodo di tempo è possibile ottenere informazioni più dettagliate. Ti piacerebbe invertire le coppie di valute? Si prega di visitare Euro(EUR) A Polonia Zloty(PLN) .
Selling 8100 PLN you get 1898.56335 EUR Buying 8100 PLN you pay 1901.87389 EUR
Tasso di cambio Aggiornato: Mar 26,2016 09:07 UTC
8100(DZD) Dinar Algérien(DZD) À Dollar US(USD)
Dinar Algérien(DZD) À Dollar US(USD)
Ceci est la page de Dinar Algérien (DZD) à Dollar US (USD) conversion, vous pouvez trouver le taux de change plus tard entre eux et est mis à jour toutes les 1 minutes. Il montre le taux de la conversion de deux monnaies d'échange. Il montre également le tableau de cette paires de devises de l'histoire, en choisissant la période de temps, vous pouvez obtenir des informations plus détaillées. Souhaitez-vous pour inverser les paires de devises? S'il vous plaît visitez Dollar US(USD) À Dinar Algérien(DZD) .
Selling 8100 DZD you get 73.27664 USD Buying 8100 DZD you pay 73.57616 USD
Taux de change mise à jour: Mar 26,2016 09:07 UTC
8100(THB) Thailändischer Baht(THB) Zu Schweizer Franken(CHF)
Thailändischer Baht(THB) Zu Schweizer Franken(CHF)
Dies ist die Seite des Thailändischer Baht (THB) zu Schweizer Franken (CHF) Konvertierung, unten können Sie die aktuelle Wechselkurs zwischen sie zu finden und wird alle 1 Minuten aktualisiert. Es zeigt den Wechselkurs der beiden Währungen Konvertierung. Es zeigt auch die Geschichte Diagramm dieser Währungspaare, indem Sie den Zeitraum können Sie detaillierte Informationen zu erhalten. Möchten Sie die Währungspaars zu invertieren? Bitte besuchen Sie Schweizer Franken(CHF) Zu Thailändischer Baht(THB) .
Selling 8100 THB you get 219.89505 CHF Buying 8100 THB you pay 224.5022 CHF
Wechselkurse Aktualisiert: Mar 26,2016 09:07 UTC
Kudret Ayyıldır
Etiketler
YASAL UYARI
Bu doküman yalnızca bilgi amaçlı olarak sunulmaktadır, belirli bir kullanıcının yatırım amaçlarıyla ilgili değildir. Burada yer alan bilgilerin doğru ve/veya tatmin edici olduğu teyit veya garanti edilmez ve yalnızca yol gösterici olarak kabul edilmelidir. Tüm yorum ifadeleri bildirimde bulunulmaksızın değiştirilmeye tabidir. Burada yer alan yatırım bilgi, yorum ve tavsiyeleri yatırım danışmanlığı kapsamında değildir. Yatırım danışmanlığı hizmeti, yetkili kuruluşlar tarafından kişilerin risk ve getiri tercihleri dikkate alınarak kişiye özel sunulmaktadır. Burada yer alan yorum ve tavsiyeler ise genel niteliktedir. Bu tavsiyeler mali durumunuz ile risk ve getiri tercihlerinize uygun olmayabilir. Bu nedenle, sadece burada yer alan bilgilere dayanılarak yatırım kararı verilmesi beklentilerinize uygun sonuçlar doğurmayabilir. Burada yer alan yorum ve tavsiyeler, yorum ve tavsiyede bulunanların kişisel görüşlerine dayanmaktadır. Herhangi bir yatırım aracının alım-satım önerisi ya da getiri vaadi olarak yorumlanmamalıdır. Burada yer alan fiyatlar, veriler ve bilgilerin tam ve doğru olduğu garanti edilemez; içerik, haber verilmeksizin değiştirilebilir. Bu kaynakların kullanılması nedeni ile ortaya çıkabilecek zararlardan Kudret Ayyıldır sorumlu değildir.
&dupdo; Kudret Ayyıldır. - Forex Piyasası Uzmanı
AUD/USD стабилизируется под 0.8100
AUD/USD вошел в режим боковой консолидации под отметкой 0.8100 на осторожном ожидании инвесторов публикации протокола декабрьского заседания FOMC.
AUD/USD стабилизировался в тесном диапазоне после неспокойных торгов в предыдущие дни: в понедельник пара обновила 4,5-летний минимум на 0.8035, во вторник достигла максимума 0.8157, а сегодня вернулась под отметку 0.8100. Ранее оззи торговался во флэте в диапазоне 0.8050-0.8080, а сейчас он держится на 0.8075, -0,1% от цены открытия.
Технические уровни по AUD/USD
Поддержка:0.8050 (дневной минимум), 0.8035 (минимум 5 янв.) и 0.8000 (психол. ур.), сопротивление: 0.8080 (дневной максимум), 0.8100/06 (психол. ур./максимум 5 янв.) и 0.8157 (максимум 6 янв.).
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Сигналы по EUR/JPY (07.12.2015)
Tomorrow we could have moderate volatility due to the conference with the C entral Bank governor, Wheeler, which could trigger volatility for the New Zealand Dollar. and also following the release of data pertaining to unemployment in Australia and the USA. Forecasts are slightly negative, which indicates that there will be some type of shaking in case the actual data is far off what was originally anticipated.
FOREX TECNICAL ANALYSYS
In this graph we are seeing that yesterday there was a typical signal of technical analysis doji. with the upper shadow at fakey of the resistance at 0,8750, it was an excellent trade for a correction against trend even up to 0,8630, which is the first support .
Over the famed kiwi, the currency of New Zealand quoted in US dollars, we show an engulfing pattern short . that is to say a candlestick which breaks through the top of the preceding one and then absorbs it, engulfing it, in such cases we should look for an entry in favor of the strongest candlestick, an entry of retracement or probable temporary retracement which often shows up the day after the signal itself.
If this does not happen, we will see it decrease and possibly get close to the value of the support underneath it, between 0,8100 and 0,8000.
This is all for today, I thank you for your attention and remember that to trade in a relaxed, organized and profitable way, our non-directional mathematical strategy is available to you.
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8100(RUB) Российский рубль(RUB) К доллар США(USD)
Российский рубль(RUB) К доллар США(USD)
Это страница Российский рубль (RUB) К доллар США (USD) преобразования, ниже вы можете найти последние обменного курса между ними и обновляется каждые 1 минуты. Это показывает обменный курс конвертации двух валют. Это также показывает историю этого графика валютных пар, выбирая период времени вы можете получить более подробную информацию. Хотите, чтобы инвертировать валютных пар? Пожалуйста, посетите доллар США(USD) К Российский рубль(RUB) .
Selling 8100 RUB you get 116.54676 USD Buying 8100 RUB you pay 118.07666 USD
Курсы валют Обновлен: Mar 26,2016 09:07 UTC
Make 50 or more pips each and every day using this simple to use strategy
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& # 8211; Not stated on site but appears to be PDF manual download.
Where To Buy: http://www. forextradingmagicwave. com/
Forex Magic Trading Wave by Gulam Samdani is described as a Forex Currency Trading System Strategy, but it is very difficult to determine what exactly you will receive.
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xForex. co
Seller's Notes
This auction is for xForex. co domain name only. The name is registered at Godaddy, free push to your Godaddy account! This is a no-reserve auction!
Domain name: xForex. co
Registrar: Godaddy
Expires: 9/7/2016
The scope: (avg. monthly searches)
foreign exchange 74000
forex 40500
forex factory 18100
foreign exchange rates 14800
forex trading 12100
online trading academy 12100
online trading 8100
fx rates 4400
currency trading 3600
forex news 2900
forex charts 1900
fxpro 1900
what is forex 1600
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mt4 1600
forex calendar 1600
forex brokers 1300
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free forex trading 1300
forex broker 1000
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Sales history: (as per Namebio)
xForex. co. za - 1,500 USD
xForex. it - 13,427 USD
xForex. net - 2,660 USD
xForex. pl - 1,500 USD
Payment: Paypal or Flippa Escrow
Again, no-reserve auction as the reserve price is just $1.
Comentarios
Thu, 22 Oct 2015 22:52:33 AEDT
Sales history: (as per Namebio)
xForex. co. za - 1,500 USD xForex. it - 13,427 USD xForex. net - 2,660 USD xForex. pl - 1,500 USD
Live Nifty Options 8100CE and 8100PE
I would like each and everyone to go thro the nature of SuperTrend Optimized trading system
& # 8211; To be honest the trading system accuracy is currently at 42% means out of 100 trades only 42 trades are profitable.
Then how does your wealth is created? It created with discipline and proper money management to catch those 42% of Winning Trades and Exiting properly at Stop Loss Hits.
What do we show in the charts?
We show the Trading Signals(Buy and Sell Arrows), Trailing Stop loss lines and the Multitimeframe Signal Dashboard
What is the maximum continuous losses the trading system can yield? Since 2010 after backtesting with 5min data it is inferred that till to date 8 consecutive losses had occurred.
What is the Best Parameters to fine tune the system to eliminate more whipsaws? It is customer supertrend version and it is marketcalls proprietary. And code is not available for public download
For Which Instrument the Trading System is Optimized? The Trading system is optimized for 5min Nifty Futures charts
Is this trading system only for Nifty Futures? Can i trade with Any other stocks/indices?
Yes, Currently the trading system is optimized for only Nifty futures 5min charts. It may or maynot suits other instruments shown here. It is recommneded to trade only volatile and High Beta Stocks on 5min timeframe
How to Enter and Exit?
Entry should be based on the completion of the close of 5min Bar Candle. Trade should be executed with 5secs once the 5min candle complete. Trade should not be executed before the completion of 5min bars.
How many Nifty Future Lots is required to Trade the Trading system? 2 Lots (100 shares) of Nifty at any trades. Size of the trade should not vary throughout the trading system and it is fixed.
Can i trade using the live Buy or Sell indicator? Charts shown in marketcalls is to study the nature of the trading system to improve your knowledge on trading system. If you are trading based on these buy and sell signals then do it at your own risk. marketcalls wont be responsible for the losses incurred.
How to Trading using the Multitimeframe Dashboard? Multitimeframe dashboard is shown here to observe what is happening in the other timeframe. However Supertrend is not a multitimeframe strategy and higher timeframes often involves higher risk. Its better to stick with 5min timeframe for a better risk control in long term.
How to Trade the Green and Blue Ribbons shown below the charts?
Those Green and Red Ribbons are called as iTrend Ribbons. iTrend Ribbons are nothing but the additional filters to avoid whipsaws in our trades.
I Have Amibroker Software how can i get this indicator?
Things you need to Know about Supertrend
1)Supertrend is a carry forward strategy which involves overnight gapup/gapdown risk and also weekend carry forward risk. It is not a pure intraday strategy. 2)Supertrend normally makes more profit when the volatility increases and makes lesser losses when the market shows compressed volatility. 3)Most of the profits are made in gap up and gap down openings compared to the losses made in gapup/gapdown 4)Should works good with High Beta Stocks and BankNifty 5)Always start your trade when the past trades which you hadn’t participated shows the worst. Don’t start once you seen the best best part of profits in Supertrend indicator. As the winning ratio is 42% it is not advisable to start your trade once you see the best results of any indicator. Wait for three or more consecutive losses to occur on the charts to start your trade after consecutive losses and not after consecutive winning on the charts. 6)Winning ratio is more or less between 42-45% across all the timeframes. (doesn’t includes brokerages and slippages). However most of the times higher time frame involves high risk in trading supertrend indicator.
Descargo de responsabilidad. The charts shown here is purely for educational purpose to study the market behavior with SuperTrend indicator. Buy and Sell Signals are not meant here to take real trades. If you are trading based on these buy and sell signals then do it at your own risk. marketcalls neither be responsible for accuracy of the data nor the losses incurred.
Required US Government Disclaimer & CTFC Rule 4.41
Futures trading contains substantial risk and is not suitable for every investor. Un inversionista podría perder todo o más de la inversión inicial. Risk capital is money that can be lost without jeopardizing ones financial security or lifestyle. Only consider risk capital that should be used for trading and only those with sufficient risk capital should consider trading. El rendimiento pasado no es necesariamente indicativa de resultados futuros. CTFC RULE 4.41 – HYPOTHETICAL OR SIMULATED PERFORMANCE RESULTS HAVE CERTAIN LIMITATIONS. DESCONOCIDO UN REGISTRO DE RENDIMIENTO REAL, LOS RESULTADOS SIMULADOS NO REPRESENTAN COMERCIO REAL. 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 LIQUIDITY. LOS PROGRAMAS DE COMERCIO SIMULADOS EN GENERAL ESTÁN SUJETOS AL FACTOR DE QUE SEAN DISEÑADOS CON EL BENEFICIO DE HINDSIGHT. NO SE HACE NINGUNA REPRESENTACIÓN QUE CUALQUIER CUENTA TENDRÁ O ES POSIBLE PARA LOGRAR GANANCIAS O PÉRDIDAS SIMILARES A LOS MOSTRADOS. All trades, patterns, charts, systems, etc. discussed in this website or advertisement are for illustrative purposes only and not construed as specific advisory recommendations. All ideas and materials presented herein are for information and educational purposes only. No system or trading methodology has ever been developed that can guarantee profits or prevent losses. The testimonials and examples used herein are exceptional results which do not apply to average people and are not intended to represent or guarantee that anyone will achieve the same or similar results. Trades placed on the reliance of Trend Methods systems are taken at your own risk for your own account. This is not an offer to buy or sell futures interests.
© Copyright 2015 Marketcalls Financial Services Pvt Ltd · Todos los Derechos Reservados & middot; And Our Sitemap · All Logos & Trademark Belongs To Their Respective Owners·
Data and information is provided for informational purposes only, and is not intended for trading purposes. Neither marketcalls. in website nor any of its promoters shall be liable for any errors or delays in the content, or for any actions taken in reliance thereon.
I have an expert running on few instruments. All are OK except EURJPY, where I get Invalid parameters error.
2006.06.25 23:16:01 '13501': modify pending order #72474 buy stop 2.10 EURJPY at 146.5100 sl: 146.4500 tp: 155.8100 -> price: 146.4900 sl: 146.4300 tp: 155.7900 2006.06.25 23:16:01 '13501': modification of pending order #72474 buy stop 2.10 EURJPY at 146.5100 sl: 146.4500 tp: 155.8100 -> price: 146.4900 sl: 146.4300 tp: 155.7900 failed [Invalid parameters]
I don't understand what does it mean. Can anybody explain?
Call GetLastError function and analyze it's result
GetLastError returns 3 which means 'invalid parameters'. I call
OrderModify(OrderTicket(), Ask+stop_level, Ask-stop_loss_level, Ask+TakeProfit*Point, OrderExpiration()));
This call is usually OK but sometimes returns Invalid Parameters error with log shown in my first post.
The GetLastError 3 does not give me any clue how to solve this problem and what it actually menas.
Is EURJPY chart open?
Is EURJPY chart open?
Join us — download MetaTrader 5!
Copyright 2000-2016, MQL5 Ltd.
AUD/USD удерживается под 0.8100
Восстановление оззи против бакса забуксовало в районе 0.8090, и AUD/USD перешел в фазу консолидации вблизи 4 ½-летнего минимума, отмеченного ранее на 0.8035.
Похоже, инвесторы расценивают каждый отскок пары как удобную возможность для ее продажи, и общее давление на AUD/USD сохраняется. Сейчас пара торгуется в районе 0.8060, - 0.44% от цены открытия.
Технические уровни по AUD/USD
Если AUD/USD опустится под 0.8035, ближайшая поддержка расположена на 0.8000 (психолог. ур.) и 0.7955 (минимум 16 июля 2009), а сопротивление – на 0.8088 (промежуточный уровень), 0.8105 (дневной максимум) и 0.8123 (10-дневная SMA).
Оставьте ваше мнение
Рекомендуем
Последние материалы
Что значит для нефти отмена квоты ОПЕК?
На столь ожидаемом заседании ОПЕК 4 декабря было совершено знаменательное событие – вместо того, чтобы снизить или увеличить квоту на добычу, к.
Слабая статистика КНР отрицательно повлияла на Европейский рынок
Французский CAC 40 -0,75% (4720) Немецкий DAX 30 -0,75% (10807) Британс.
Цены на нефть продолжают стремительно падать
Цены на энергоносители в понедельник резко нырнули вниз. Потери составляли около 5%. Но более всего впечатлил провал нефтяных цен. Потери цен н.
Основные угрозы 2016 года
«Чёрный лебедь» — теория, рассматривающая труднопрогнозируемые и редкие события, которые имеют.
Сигналы по EUR/JPY (07.12.2015)
8100(HUF) Ungheria Forint(HUF) A Euro(EUR)
Ungheria Forint(HUF) A Euro(EUR)
Questa è la pagina di Ungheria Forint (HUF) a Euro (EUR) di conversione, di seguito puoi trovare le ultime tasso di cambio tra di loro e viene aggiornata ogni 1 minuti. Esso mostra il tasso di cambio della conversione di due valute. Essa mostra anche il grafico di storia di questo coppie di valute, scegliendo il periodo di tempo è possibile ottenere informazioni più dettagliate. Ti piacerebbe invertire le coppie di valute? Si prega di visitare Euro(EUR) A Ungheria Forint(HUF) .
Selling 8100 HUF you get 25.78241 EUR Buying 8100 HUF you pay 25.82258 EUR
Tasso di cambio Aggiornato: Mar 26,2016 09:07 UTC
AUDCHF Last Call
Timeframe: D1 Recommendation: Long Position
Entry Level: Long Position @ 0.8225
Hedge Level: Stop Sell Order @ 0.81250 (Take Profit Level @ 0.8000)
Take Profit Zone: 0.8550 – 0.8600
Stop Loss Level: 0.8100 (We will not use a stop loss order and execute this trade as advised below)
The AUDCHF has corrected sharply after trading inside its horizontal as visible in this daily chart (D1). This currency pair is now trading inside its horizontal support level which is marked in blue in the above chart. We expect the AUDCHF to rally higher and back into its horizontal resistance zone which is marked in red.
MACD indicates that momentum is improving, but it remains in bearish territory. We expect the histogram as well as moving average to approach the centerline during the expected move higher. RSI is trading in extreme oversold territory and a breakout should initiate the rally.
We recommend a long position at 0.8225. We also recommend a stop sell order at 0.8125 with a take profit target of 0.8000 in order to hedge our initial long position. We will not add further long positions to this trade.
Traders who wish to exit this currency trade at a loss are advised to place their stop loss order at 0.8075. We will not use a stop loss order and execute this trade as recommended. Place your take profit order at 0.8575.
Here are the reasons why we call the AUDCHF currency pair higher:
The AUDCHF currency pair is currently trading at its horizontal support level
MACD indicates that momentum is improving and bearish pressures are fading
RSI is trading in extreme oversold territory and a breakout should initiate the rally
Profit taking in order to realize trading profits which will start a short-covering rally
New long positions by institutional swing traders
Open your PaxForex Trading Account now and add this currency pair to your forex portfolio .
Laino Group número de registro 21973 IBC 2014. Advertencia de riesgo: Tenga en cuenta que el comercio de productos apalancados puede implicar un nivel significativo de riesgo y no es adecuado para todos los inversores. Usted no debe arriesgar más de lo que está preparado para perder. Antes de decidir negociar, asegúrese de comprender los riesgos involucrados y tenga en cuenta su nivel de experiencia. Busque asesoramiento independiente si es necesario.
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EURGBP at Support
Laino Group número de registro 21973 IBC 2014. Advertencia de riesgo: Tenga en cuenta que el comercio de productos apalancados puede implicar un nivel significativo de riesgo y no es adecuado para todos los inversores. Usted no debe arriesgar más de lo que está preparado para perder. Antes de decidir negociar, asegúrese de comprender los riesgos involucrados y tenga en cuenta su nivel de experiencia. Busque asesoramiento independiente si es necesario.
Please like PaxForex site in your favorite network and get access to free Bonus account registration page!
Trade AUD / Currencies - &AUD_Index
Тable 1. Central bank foreign turnover. April 2013
In the right hand column the respective shares of currencies in the foreign exchange turnover of regulators are presented in descending order.
In creating the index we consider (quote) AUD against "portfolio standard", composed of 6 remaining liquid currencies: USD + JPY + EUR + GBP + CHF + CAD. The weight optimization is carried out so that the standard possesses the minimum sensitivity with respect to the events in Australia. The weights, which correspond to the quoted standard, are selected on the basis of currency zone "non-interference" principle.
Let us explain the application of that principle. The table of liquid currency priority for foreign exchanges quoted against Australian dollar is made on the basis of foreign exchange turnover 2013 study where we apply a numerically small value 0.1% for the turnover share of the currencies not presented in the source.
Residual influence share, %
Тable 2. Currency pair monthly turnover. April 2013
The total share of AUD turnover relative to the liquid instruments under consideration is 8.3%. Then the residual share is equal to the difference between the total share and the currency pair share.
The residual share characterizes the currency (AUD) stability with respect to changes in the price of the quoted part. Indeed, In order to introduce significant volatility into the index the participation of remaining “counterpart” currencies (AUD vs X) is required with the weights equal to their share in the foreign exchange operations. Therefore the values from the right hand column of the Table 2 were applied for determining the currency weights for creation of the index.
Let us remind that the structure of the &VSUSD_Index index can be represented as follows:
AUD / ( W1*USD + W2*JPY + W3*GBP + W4*CHF + W5*EUR + W6*CAD )
We shall take the Wi weights for the standard proportional to the residual influence share (the right hand column of the Table 2). Thus, we are raising the index stability with respect to events in Australia. Then the index sensitivity will be determined by the base part – AUD. The estimates yield the percentage composition of the portfolio, presented in the table Structure.
The instrument &AUD_Index is highly sensitive with respect to fundamental changes in Australian economic development and therefore well suited for trend following strategy in periods when key fundamental events are anticipated.
In NetTradeX trading platform buying the instrument means capital allocation between a long position in AUD and a short position in the portfolio standard.
&AUD_Index can be used for comparative analysis of the index vs. popular currency pair AUDUSD, by building, for example, a percentage chart in the NetTradeX terminal for the two instruments (Fig.1) and studying the price dynamics during 2014. It is evident that since autumn of 2014 the currency pair started to fall much faster than the index, which allows to make a conclusion, for example, that the USD was the main contributor to the fall.
By comparing the price dynamics of the index and the currency pair for short-term trade (Fig.2) it is evident that the AUD index started to rise from 18.12.2014 while the AUDUSD continued to fall, which means that the dynamics of the Australian currency itself differed radically from the dynamics of the pair.
Traders, who specialize in fundamental analysis and focus on the developments in Australian economy and want to filter out the influence of other currency zones (for instance, events in USA and USD dynamics in the example above) will be comfortable trading this instrument.
Clients Also Trade These Instruments
© IFCMARKETS. CORP. 2006-2016 IFC Markets es un agente líder en los mercados financieros internacionales que ofrece servicios de comercio en línea de divisas, así como futuros, índices, acciones y CFDs de materias primas. The company has steadily been working since 2006 serving its customers in 12 languages of 60 countries over the world, in full accordance with international standards of brokerage services.
Advertencia de riesgo Advertencia: La negociación en Forex y CFDs en OTC Market implica un riesgo significativo y las pérdidas pueden exceder su inversión.
IFC Markets does not provide services for United States residents.
Why IFC Markets?
2012-11-28 11:24 GMT
EU gives the go-ahead to Spanish bank restructuring plan
The European Commission announced on Wednesday its approval of the plans to restructure Spain's four nationalized banks: Bankia, Nova Caixa Galicia, Catalunya Caixa and Banco de Valencia. Vice President of the European Commission responsible for Competition Policy Joaquín Almunia said in the European morning that the injection of 37 billion euros of the bank rescue would require a 60% reduction in the size of the nationalized financial institutions by 2017.
Joaquín Almunia informed that during the negotiations with Spanish authorities and the banks in question it was established that the recapitalization funds would be distributed as follows: 18 billion euros for Bankia, 9 billion for Catalunya Caixa, 5.5 billion for Nova Caixa Galicia and 4.5 billion for Banco de Valencia. The four nationalized financial institutions should abandon conceding loans for high risk activities and should transfer 45 billion euros of toxic assets to the newly created bad bank. Catalunya Caixa and Nova Caixa Galicia are expected to be sold before 2017.-FXstreet. com
2012-11-29 08:55 GMT
Germany. Unemployment Change (Nov)
2012-11-29 10:30 GMT
United Kingdom. BoE's Governor King Speech
2012-11-29 13:30 GMT
United States. Gross Domestic Product Annualized (Q3)
2012-11-29 15:00 GMT
United States. Pending Home Sales (MoM) (Oct)
2012-11-29 06:12 GMT
EUR/GBP flat below 0.8100, 50% Fibo
2012-11-29 05:36 GMT
GBP/USD trying to push higher, eyeing 1.6020
2012-11-29 05:25 GMT
NZD/USD higher on US 'fiscal cliff' optimismo
2012-11-29 04:09 GMT
EUD/USD bullish while above 1.2885 – Scotiabank
MARKET ANALYSIS – Intraday Analysis
Upwards scenario: Next on tap, resistance level at 1.2962 (R1). A break higher could open the door for an attack to next target at 1.2980 (R2) and final immediate resistance is seen at 1.2996 (R3). Downwards scenario: Further retracement formation on the medium-term might occur below the support level at 1.2939 (S1), break here is required to put focus on actual targets at 1.2921 (S2) and 1.2903 (S3).
Resistance Levels: 1.2962, 1.2980, 1.2996
Support Levels: 1.2939, 1.2921, 1.2903
Upwards scenario: Upside risk aversion is seen above the resistance at 1.6021 (R1). Any violation of that level would be considered as signal of possible uptrend formation towards to our targets at 1.6031 (R2) and 1.6042 (R3).Downwards scenario: Though, our medium-term outlook is bearish. A break through support level at 1.6005 (S1) is possible en route towards to our intraday targets at 1.5994 (S2) and 1.5983 (S3).
Resistance Levels: 1.6021, 1.6031, 1.6042
Support Levels: 1.6005, 1.5994, 1.5983
Upwards scenario: The pair might face key resistive bastion at 82.22 (R1). A break above it might activate upside pressure and suggest the short-term targets at 82.30 (R2) and 82.39 (R3). Downwards scenario: On a slightly longer term focus has returned to the support at 82.00 (S1). If the market manages to overcome it, next hurdle lies at 81.91 (S2) and 81.82 (S3).
Resistance Levels: 82.22, 82.30, 82.39
Support Levels: 82.00, 81.91, 81.82
8100(EUR) Euro(EUR) À Dollar Canadien(CAD)
Euro(EUR) À Dollar Canadien(CAD)
Ceci est la page de Euro (EUR) à Dollar Canadien (CAD) conversion, vous pouvez trouver le taux de change plus tard entre eux et est mis à jour toutes les 1 minutes. Il montre le taux de la conversion de deux monnaies d'échange. Il montre également le tableau de cette paires de devises de l'histoire, en choisissant la période de temps, vous pouvez obtenir des informations plus détaillées. Souhaitez-vous pour inverser les paires de devises? S'il vous plaît visitez Dollar Canadien(CAD) À Euro(EUR) .
Selling 8100 EUR you get 11996.75187 CAD Buying 8100 EUR you pay 12007.5695 CAD
Taux de change mise à jour: Mar 26,2016 09:07 UTC
8100(CZK) RepCeca Koruna(CZK) A Euro(EUR)
RepCeca Koruna(CZK) A Euro(EUR)
Questa è la pagina di RepCeca Koruna (CZK) a Euro (EUR) di conversione, di seguito puoi trovare le ultime tasso di cambio tra di loro e viene aggiornata ogni 1 minuti. Esso mostra il tasso di cambio della conversione di due valute. Essa mostra anche il grafico di storia di questo coppie di valute, scegliendo il periodo di tempo è possibile ottenere informazioni più dettagliate. Ti piacerebbe invertire le coppie di valute? Si prega di visitare Euro(EUR) A RepCeca Koruna(CZK) .
Selling 8100 CZK you get 299.0836 EUR Buying 8100 CZK you pay 299.62592 EUR
Tasso di cambio Aggiornato: Mar 26,2016 09:07 UTC
8100(EUR) Euro(EUR) À Franc CFA (BCEAO)(XOF)
Euro(EUR) À Franc CFA (BCEAO)(XOF)
Ceci est la page de Euro (EUR) à Franc CFA (BCEAO) (XOF) conversion, vous pouvez trouver le taux de change plus tard entre eux et est mis à jour toutes les 1 minutes. Il montre le taux de la conversion de deux monnaies d'échange. Il montre également le tableau de cette paires de devises de l'histoire, en choisissant la période de temps, vous pouvez obtenir des informations plus détaillées. Souhaitez-vous pour inverser les paires de devises? S'il vous plaît visitez Franc CFA (BCEAO)(XOF) À Euro(EUR) .
Selling 8100 EUR you get 5307052.37192 XOF Buying 8100 EUR you pay 5309662.58792 XOF
Taux de change mise à jour: Mar 26,2016 09:07 UTC
8100(EUR) евро(EUR) К Российский рубль(RUB)
евро(EUR) К Российский рубль(RUB)
Это страница евро (EUR) К Российский рубль (RUB) преобразования, ниже вы можете найти последние обменного курса между ними и обновляется каждые 1 минуты. Это показывает обменный курс конвертации двух валют. Это также показывает историю этого графика валютных пар, выбирая период времени вы можете получить более подробную информацию. Хотите, чтобы инвертировать валютных пар? Пожалуйста, посетите Российский рубль(RUB) К евро(EUR) .
Selling 8100 EUR you get 620220.951 RUB Buying 8100 EUR you pay 628502.84694 RUB
Курсы валют Обновлен: Mar 26,2016 09:07 UTC
Futures and Commodity Market News
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Trade Forex, Commodities and Stock Indices with Binary Options – See How
If you follow the Equity Indices closely, you can sometimes spot patterns that repeat themselves with a high degree of consistency. Continue reading here.
August 24, 2015, was an important day in world currency markets. The Chinese shocked the world with a devaluation of the yuan. Continue reading here.
Dalal Street week ahead: Nifty must decisively trade above 8,100 to trigger a rally
The market last week got the long-awaited Reserve Bank of India (RBI) growth pill in the form of a 50 bps cut in repo rate. The pleasant surprise turbocharged the market, helping Nifty to close the week with a gain of 1.05 per cent.
The quantum of rate cut would now force banks to pass on the benefits, which earlier did not happen effectively. SBI positively responded by a 40 bps cut in base rate and others are to follow. The decision will provide an impetus to growth, attracting investments and easing corporate debt woes.
Rate-sensitive sectors like automobiles, housing finance companies; real estate. capital goods and NBFCs were in limelight. It also helped stabilize the market. September saw FII outflow of Rs 5,900 crore while DIIs counterbalanced with an inflow of Rs 7,070 crore, thus drastically reducing the selling pressure in the market.
All the ingredients for bulls to charge up are in place. Subsiding FII selling, a stabilising rupee, a downward interest rate cycle, a downtrend in inflation and compelling valuations after a 16 per cent correction in the market since March this year make a strong case for a domestic factors-led macro rally, with intermittent selling pressure expected due to global cues.
Nifty is oscillating in a broad range of 550 points, 7,550 on the lower side and 8,100 on the upper side. The 7,550 level shall act as a strong support. Nifty is likely to face stiff resistance at 8,100.
A series of lower tops and lower bottoms in the medium term indicate that a medium-term downtrend or correction is still under way till 8,100 is taken off. For any sustainable rally to happen, Nifty must decisively trade above 8,100. Nifty ended last week at 7,950.90, with a gain of 1.05 per cent.
The market will remain choppy till either lower or upper levels are breached. The resilience of the market indicates that the upper level will be breached. A strangle trading strategy built for trading the range could do well in the short term.
Expectations for the week:
In the coming week, the market will watch the corporate scorecard. The mood of the market will remain buoyant in view of rate cuts and assurances from the government that it will deliver on its reforms agenda.
The domestic market is slowly decoupling and turning out to be resilient, even the rupee has stabilised and appreciated somewhat while other currencies are still languishing. FIIs' interest is again building up in view of attractive valuations and the forthcoming quarterly results season.
Although the results season, which is just a rear view of performance, will not be rosy, but markets are a future-discounting machine, wherein lower interest rates, lower inflation and low commodities prices will boost future profitability of companies, thus strengthening the hands of the bulls.
(The author is CEO, SAMCO Securities. Views and recommendations expressed in this section are his own and do not represent those of EconomicTimes. com. Please consult your financial advisor before taking any position.)
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8100(CAD) Dollar Canadien(CAD) À Euro(EUR)
Dollar Canadien(CAD) À Euro(EUR)
Ceci est la page de Dollar Canadien (CAD) à Euro (EUR) conversion, vous pouvez trouver le taux de change plus tard entre eux et est mis à jour toutes les 1 minutes. Il montre le taux de la conversion de deux monnaies d'échange. Il montre également le tableau de cette paires de devises de l'histoire, en choisissant la période de temps, vous pouvez obtenir des informations plus détaillées. Souhaitez-vous pour inverser les paires de devises? S'il vous plaît visitez Euro(EUR) À Dollar Canadien(CAD) .
Selling 8100 CAD you get 5464.05332 EUR Buying 8100 CAD you pay 5468.98033 EUR
Taux de change mise à jour: Mar 26,2016 09:07 UTC
Understanding Lot Sizes & Margin Requirements when Trading Forex
So what we are effectively doing is buying €10,000 worth of US Dollars at the exchange rate 1.35917. We are looking for the exchange rate to rise (i. e. the Euro to strengthen against the US Dollar) so we can close out our position for a profit.
So let’s say the exchange rate moves from 1.35917 to 1.36917 –the exchange rate rose by 1c ($). This is the equivalent of 100 pips .
So with a lot size 10,000, each pip movement is $1.00 profit or loss to us (10,000* 0.0001 = $1.00).
As it moved upwards by 100 pips we made a profit of $100.
For example’s sake, if we opened a lot size for 100,000 units we would have made a profit of $1,000.
Therefore lot sizes are crucial in determining how much of a profit (or loss) we make on the exchange rate movements of currency pairs.
We do not have to restrict ourselves to the historical specific amounts of standard, mini and micro. We can enter any amount we wish greater than 1,000 units. 1,000 units is the minimum position size we can open.
So for example, we can sell 28,000 units of the GBPJPY currency pair at the rate of 156.016. Each pip movement is ВҐ 280 (28,000 * 0.01). We then take our ВҐ 280 per pip and change it to the base currency of our account which of course our broker does automatically.
Overnight Premiums/Swaps
When an FX position (or a CFD position) is held overnight (or вЂ˜rolled over’) there is a charge known as a вЂ˜swap’ or вЂ˜overnight premium’. We call it a charge; however it is possible to earn a positive sum each night too. When trading FX, it is based on the interest rates of the currencies we are buying and selling.
So for example, if we were buying the AUD/CHF we would earn a positive overnight sum as we would earn interest on the Australian Dollars we bought as the Australian interest rate is higher than the Swiss interest rate (in fact the Swiss interest rate is zero). So often buying currencies against the Swiss Franc will result in a positive swap.
For the most part however an overnight premium will be a charge on our account and again this relates to the size of our position. The actual percentage is very small each night as it is the annual interest rate divided by 360 (days in year). Our broker automatically calculates overnight premiums and they usually take effect after 10pm GMT.
Under the trading conditions most brokers will stipulate the swap rates for a buy or sell position on each pair. We multiply this rate by our trade size and divide by 360 like the formula above to know what premium we are charged or we earn.
I am a trend trader (using daily charts for trend determination and some lower time frames for entries). My positions sometimes last for days. So, while waiting for a position to mature to be eligible for closing, I code. That is the best way to avoid oppressive price change observing and prevents boredom - and I hope I do something of a value while I am at it
I prefer the swings on M1 <-> M5 <-> M15, but can't stay all day long in front of the MT4. I try to mtf-ing same indis, so you'd be relieved a bit, but don't work for all indis. Still learning. With trading PA as well, but it ease me that Xard and mrtools, you and all others still use indicators, do you? Otherwise, this and so many fora/forums would make no sense.
Jebanie, finding our own trading style is the hard part. I've really tried a lot, cause I lost a lot Now, I think I'm happy with my setup.
Gincius, you're welcome. Hope, now comes the profit.
Dear Traders any one has this system to share kindly?? Prolific pips profiteer [ATTACH=CONFIG]214833[/ATTACH]
Whenever you see that the extremes are marked with 100% accuracy, rest assured that it repaints. If there was a way to know the extremes of financial time series with that accuracy, we would have zillionaires growing at every tree.
Forget about that indicator and forget about the idea that there is infallible system or indicator. Only one system can trade over 90% of accuracy. HFT, but that is what we shall never see (due to a lack of funds) or be allowed to do. And in the growing jungle of HFTs, the odds that all of them are going to remain profitable is lessening each and every day.
Much more probable is that in some foreseeable time we shall see good old manual trading returning at a big door
8100(EUR) евро(EUR) К индийская рупия(INR)
евро(EUR) К индийская рупия(INR)
Это страница евро (EUR) К индийская рупия (INR) преобразования, ниже вы можете найти последние обменного курса между ними и обновляется каждые 1 минуты. Это показывает обменный курс конвертации двух валют. Это также показывает историю этого графика валютных пар, выбирая период времени вы можете получить более подробную информацию. Хотите, чтобы инвертировать валютных пар? Пожалуйста, посетите индийская рупия(INR) К евро(EUR) .
Selling 8100 EUR you get 604357.28318 INR Buying 8100 EUR you pay 604909.12136 INR
Курсы валют Обновлен: Mar 26,2016 09:08 UTC
8100(THB) Baht Thaïlandais(THB) À Euro(EUR)
Baht Thaïlandais(THB) À Euro(EUR)
Ceci est la page de Baht Thaïlandais (THB) à Euro (EUR) conversion, vous pouvez trouver le taux de change plus tard entre eux et est mis à jour toutes les 1 minutes. Il montre le taux de la conversion de deux monnaies d'échange. Il montre également le tableau de cette paires de devises de l'histoire, en choisissant la période de temps, vous pouvez obtenir des informations plus détaillées. Souhaitez-vous pour inverser les paires de devises? S'il vous plaît visitez Euro(EUR) À Baht Thaïlandais(THB) .
Selling 8100 THB you get 201.43178 EUR Buying 8100 THB you pay 205.57188 EUR
Taux de change mise à jour: Mar 26,2016 09:08 UTC
8100(CHF) Svizzera Franco(CHF) A Euro(EUR)
Svizzera Franco(CHF) A Euro(EUR)
Questa è la pagina di Svizzera Franco (CHF) a Euro (EUR) di conversione, di seguito puoi trovare le ultime tasso di cambio tra di loro e viene aggiornata ogni 1 minuti. Esso mostra il tasso di cambio della conversione di due valute. Essa mostra anche il grafico di storia di questo coppie di valute, scegliendo il periodo di tempo è possibile ottenere informazioni più dettagliate. Ti piacerebbe invertire le coppie di valute? Si prega di visitare Euro(EUR) A Svizzera Franco(CHF) .
Selling 8100 CHF you get 7415.34137 EUR Buying 8100 CHF you pay 7421.54837 EUR
Tasso di cambio Aggiornato: Mar 26,2016 09:08 UTC
8100(MAD) Dirham Marocain(MAD) À Euro(EUR)
Dirham Marocain(MAD) À Euro(EUR)
Ceci est la page de Dirham Marocain (MAD) à Euro (EUR) conversion, vous pouvez trouver le taux de change plus tard entre eux et est mis à jour toutes les 1 minutes. Il montre le taux de la conversion de deux monnaies d'échange. Il montre également le tableau de cette paires de devises de l'histoire, en choisissant la période de temps, vous pouvez obtenir des informations plus détaillées. Souhaitez-vous pour inverser les paires de devises? S'il vous plaît visitez Euro(EUR) À Dirham Marocain(MAD) .
Selling 8100 MAD you get 742.62713 EUR Buying 8100 MAD you pay 744.70624 EUR
Taux de change mise à jour: Mar 26,2016 09:08 UTC
8100(THB) Thailandia Baht(THB) A Euro(EUR)
Thailandia Baht(THB) A Euro(EUR)
Questa è la pagina di Thailandia Baht (THB) a Euro (EUR) di conversione, di seguito puoi trovare le ultime tasso di cambio tra di loro e viene aggiornata ogni 1 minuti. Esso mostra il tasso di cambio della conversione di due valute. Essa mostra anche il grafico di storia di questo coppie di valute, scegliendo il periodo di tempo è possibile ottenere informazioni più dettagliate. Ti piacerebbe invertire le coppie di valute? Si prega di visitare Euro(EUR) A Thailandia Baht(THB) .
Selling 8100 THB you get 201.43178 EUR Buying 8100 THB you pay 205.57188 EUR
Tasso di cambio Aggiornato: Mar 26,2016 09:08 UTC
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8100(CZK) Couronne Tchèque(CZK) À Euro(EUR)
Couronne Tchèque(CZK) À Euro(EUR)
Ceci est la page de Couronne Tchèque (CZK) à Euro (EUR) conversion, vous pouvez trouver le taux de change plus tard entre eux et est mis à jour toutes les 1 minutes. Il montre le taux de la conversion de deux monnaies d'échange. Il montre également le tableau de cette paires de devises de l'histoire, en choisissant la période de temps, vous pouvez obtenir des informations plus détaillées. Souhaitez-vous pour inverser les paires de devises? S'il vous plaît visitez Euro(EUR) À Couronne Tchèque(CZK) .
Selling 8100 CZK you get 299.0836 EUR Buying 8100 CZK you pay 299.62592 EUR
Taux de change mise à jour: Mar 26,2016 09:08 UTC
8100(THB) Thailandia Baht(THB) A Corea Won(KRW)
Thailandia Baht(THB) A Corea Won(KRW)
Questa è la pagina di Thailandia Baht (THB) a Corea Won (KRW) di conversione, di seguito puoi trovare le ultime tasso di cambio tra di loro e viene aggiornata ogni 1 minuti. Esso mostra il tasso di cambio della conversione di due valute. Essa mostra anche il grafico di storia di questo coppie di valute, scegliendo il periodo di tempo è possibile ottenere informazioni più dettagliate. Ti piacerebbe invertire le coppie di valute? Si prega di visitare Corea Won(KRW) A Thailandia Baht(THB) .
Selling 8100 THB you get 262982.38381 KRW Buying 8100 THB you pay 268627.07327 KRW
Tasso di cambio Aggiornato: Mar 26,2016 09:08 UTC
Option expiries 10am NY cut 28 March
Premier forex trading news site
Founded in 2008, ForexLive. com is the premier forex trading news site offering interesting commentary, opinion and analysis for true FX trading professionals. Obtenga las últimas noticias de cambio de divisas y las actualizaciones actuales de los comerciantes activos diariamente. ForexLive. com blog posts feature leading edge technical analysis charting tips, forex analysis, and currency pair trading tutorials. Descubra cómo aprovechar las oscilaciones en los mercados de divisas globales y ver nuestro análisis de noticias de divisas en tiempo real y las reacciones a las noticias del banco central, los indicadores económicos y los eventos mundiales.
2016 - Live Analytics Inc v.0.8.116(t)
ALTO RIESGO ADVERTENCIA: El comercio de divisas conlleva un alto nivel de riesgo que puede no ser adecuado para todos los inversores. El apalancamiento crea un riesgo adicional y una exposición de pérdidas. Antes de decidir intercambiar divisas, considere cuidadosamente sus objetivos de inversión, nivel de experiencia y tolerancia al riesgo. You could lose some or all of your initial investment; do not invest money that you cannot afford to lose. Infórmese sobre los riesgos asociados con el comercio de divisas y busque asesoramiento de un asesor financiero o fiscal independiente si tiene alguna pregunta.
ADVISORY WARNING: FOREXLIVE™ provides references and links to selected blogs and other sources of economic and market information as an educational service to its clients and prospects and does not endorse the opinions or recommendations of the blogs or other sources of information. Clients and prospects are advised to carefully consider the opinions and analysis offered in the blogs or other information sources in the context of the client or prospect's individual analysis and decision making. Ninguno de los blogs u otras fuentes de información debe considerarse como un historial. Past performance is no guarantee of future results and FOREXLIVE™ specifically advises clients and prospects to carefully review all claims and representations made by advisors, bloggers, money managers and system vendors before investing any funds or opening an account with any Forex dealer. Cualquier noticia, opinión, investigación, datos u otra información contenida en este sitio web se proporciona como comentario general del mercado y no constituye asesoramiento de inversión o comercialización. FOREXLIVE™ expressly disclaims any liability for any lost principal or profits without limitation which may arise directly or indirectly from the use of or reliance on such information. Al igual que con todos estos servicios de asesoramiento, los resultados anteriores nunca son una garantía de resultados futuros.
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8100(XPF) Franc CFP(XPF) À Euro(EUR)
Franc CFP(XPF) À Euro(EUR)
Ceci est la page de Franc CFP (XPF) à Euro (EUR) conversion, vous pouvez trouver le taux de change plus tard entre eux et est mis à jour toutes les 1 minutes. Il montre le taux de la conversion de deux monnaies d'échange. Il montre également le tableau de cette paires de devises de l'histoire, en choisissant la période de temps, vous pouvez obtenir des informations plus détaillées. Souhaitez-vous pour inverser les paires de devises? S'il vous plaît visitez Euro(EUR) À Franc CFP(XPF) .
Selling 8100 XPF you get 67.92391 EUR Buying 8100 XPF you pay 67.95727 EUR
Taux de change mise à jour: Mar 26,2016 09:08 UTC
Case Status Report: Forex Liquidity LLC
Notice to Customers of Forex Liquidity LLC
January 10, 2008
As you are aware, the Commodity Futures Trading Commission (CFTC) filed a complaint in the United States District Court against Forex Liquidity LLC (FXLQ) on December 13, 2007. This notice is to provide you with the most recent updates regarding this matter and to address your concerns about your funds.
Pursuant to a provision in the Commodity Exchange Act (CEA), 7 USC § 1 et. seq. the CFTC filed an ex parte motion seeking an order imposing a blanket freeze on FXLQ’s assets, ensuring access to FXLQ’s books and records by representatives of the Commission, and appointing a temporary receiver to marshal FXLQ’s assets. The Court granted this motion and entered a statutory restraining order (SRO). The Court then scheduled a hearing for January 4, 2008 to allow the Defendant to show cause why the SRO should not remain in place and why a preliminary injunction should not be entered finding that FXLQ violated the CEA, and ordering FXLQ not to violate the CEA. Recently, the show cause hearing was rescheduled to January 28, 2008.
The assets of FXLQ are currently frozen and under the control of the Court-appointed Receiver Robb Evans & Associates LLC. The Receiver acts as an officer of the Court and all further decisions regarding the receivership as well as the disposition of any assets held by the Receiver will be made by the Court.
A number of customers have made inquiries requesting the return of funds from their account. Please be advised that the Receiver at this time cannot comply with any requests for disbursements of customer funds until the Court has entered an order that authorizes and directs the Receiver to disburse funds. The Receiver does not anticipate that this can occur until such time as the Receiver provides a report to the Court on the complete extent of FXLQ’s assets and liabilities, and the Court can rule on the allegations in the CFTC’s complaint. Unfortunately, at this time we cannot provide a timetable when this might occur, but you should be assured that it is the duty of the Receiver to marshal the current assets of FXLQ and its customers. Lastly, we ask for your patience and hope that you understand this may take some time to sort out.
Going forward, if you would like updates regarding this case, the Receiver will post the most current information at http://www. robbevans. com/html/forexlq. html. Gracias.
Receiver Contact: Robb Evans and Associates LLC 11450 Sheldon Street Sun Valley, CA 91352-1121 Telephone: 818-768-8100 Fax: 818-768-8802 Email: rea@robbevans. com
Last Updated: March 23, 2011
See Also:
CFTC's Commitment to Open Government
Report Fraud & Abuse
Follow the Status of Enforcement Actions
Profited US$5010 in month of January 2011. Total of 4 trades were executed, 3 were profitable trades and 1 was a lossing trade.
Details of my trades as follows:
1. EURAUD: 173 Pips Loss
Original trade: Sell EurAud at 1.3384 Stop level at 1.3560 Target level at 1.3000
2. USDJPY: 55 Pips Profit
Original trade: Sell USDJPY at 83.06 Stop level at 85.00 Target level at 81.50
3. GBPNZD: 400 Pips Profit
Original trade: Sell GBPNZD at 2.1040 Stop level at 2.1260 Target level at 2.0250
4. EURNZD: 219 Pips Profit
Original trade: Sell EURNZD at 1.7867 Stop level at 1.8100 Target level 1.7400
All forex trading postings are delayed, I can share live updates of my content via emails. If you are interested to receive live forex trading updates or learn forex trading online, send an email to me at atraderx@gmail. com .
Profited US$1400 for month of December 2010. There were total of 3 trades made and all 3 are winning trades. A 100% rate of success to close off yaer 2010!
Following were the details of trades executed:
1. USDCAD: 45 Pips Profit
Original trade: Buy USDCAD at 1.0049 Stop level at 0.9950 Target level at 1.0150
2. USDCAD: 88 Pips Profit
Original trade: Sell USDCAD at 1.0175 Stop level at 1.0300 Target level at 1.0000
3. USDCAD: 6 Pips Profit
Original trade: Buy USDCAD at 1.0112 Stop level at 0.9950 Target level at 1.0250
The best channel to learn and build your confidence in Forex trading by subscribing to our educational services, where you will receive:
1. proprietary trading manual for my system 2. instant email on my live trades 3. weekly updates on the proven indicators 4. market news 5. One-to-one coaching
For those who are long enough in this market, you should know that this is better than paying few thousand dollars for trading seminars that do not produce good results.
If you have an interest in learning forex trading the practical way, send an email to me at atraderx@gmail. com .
Profited US$1450 for month of November 2010. There were total of 17 trades made. 10 were profitable trades and 7 were losing trades.
Following were the details of trades executed
1. EURUSD: 56 Pips Profit
Original trade: Sell EURUSD at 1.3935 Stop level at 1.4100 Target level at 1.3700
2. AUDUSD: 106 Pips Profit
Original trade: Sell AUDUSD at 0.9890 Stop level at 1.0010 Target level at 0.9700
3. USDCAD: 39 Pips Loss
Original trade: Sell USDCAD at 1.0235 Stop level at 1.0300 Target level at 1.0135
4. USDCAD: 82 Pips Profit
Original trade: Sell USDCAD at 1.0271 Stop level at 1.0400 Target level at 1.0100
5. AUDUSD: 56 Pips Profit
Original trade: Sell AUDUSD at 0.9845 Stop level at 1.0010 Target level at 0.9645
6. EURUSD: 55 Pips Loss
Original trade: Buy EURUSD at 1.3941 Stop level at 1.3850 Target level at 1.4200
7. AUDUSD: 17 Pips Profit
Original trade: Buy AUDUSD at 0.9721 Stop level at 0.9650 Target level at 0.9880
8. USDCAD: 85 Pips Profit
Original trade: Sell USDCAD at 1.0308 Stop level at 1.0400 Target level at 1.0180
9. AUDUSD: 25 Pips Profit
Original trade: Sell AudUsd at 0.9904 Stop level at 1.0010 Target level at 0.9700
10. AUDUSD: 52 Pips Profit
Original trade: Buy AUDUSD at 0.9864 Stop level at 0.9780 Target level at 0.9968
11. AUDUSD: 62 Pips Loss
Original trade: Sell AUDUSD at 0.9650 Stop level at 0.9747 Target level at 0.9450
12. AUDUSD: 55 Pips Loss
Original trade: Buy AUDUSD at 0.9732 Stop level at 0.9650 Target level at 0.9832
13. AUDUSD: 120 Pips Profit
Original trade: Sell AUDUSD at 0.9695 Stop level at 0.9778 Target level at 0.9500
14. AUDUSD: 96 Pips Loss
Original trade: Sell AUDUSD at 0.9814 Stop level at 0.9910 Target level at 0.9600
15. EURUSD: 131 Pips Loss
Original trade: Buy EURUSD at 1.4017 Stop level at 1.3850 Target level at 1.4200
16. EURUSD: 60 Pips Profit
Original trade: Buy EurUsd at 1.3864 Stop level at 1.3700 Target level at 1.4022
17. AUDUSD: 76 Pips Loss
Original trade: Sell AUDUSD at 0.9656 Stop level at 0.9774 Target level at 0.9500
The best channel to learn and build your confidence in Forex trading by subscribing to our educational services, where you will receive:
1. proprietary trading manual for my system 2. instant email on my live trades 3. weekly updates on the proven indicators 4. market news 5. One-to-one coaching
For those who are long enough in this market, you should know that this is better than paying few thousand dollars for trading seminars that do not produce good results.
If you have an interest in learning forex trading the practical way, send an email to me at atraderx@gmail. com .
There were total of 9 trades made. 2 were profitable trades and 7 were losing trade. September is our second month in 2010 which we lost.
Details of my trades as follows:
1. GBPAUD: 131 Pips Loss
Original trade: Buy GBPAUD at 1.6884 Stop level at 1.6700 Target level at 1.7100
2. EURUSD: 138 Pips Loss
Original trade: Sell EurUsd at 1.3062 Stop level at 1.3200 Target level at 1.2900
3. EURJPY: 154 Pips Loss
Original trade: Sell EURJPY at 112.27 Stop level at 114.10 Target level at 108.00
4. USDCHF: 108 Pips Profit
Original trade: Buy USDCHF at 1.0033 Stop level at 0.9900 Target level at 1.0300
5. AUDUSD: 97 Pips Loss
Original trade: Sell AUDUSD at 0.9333 Stop level at 0.9430 Target level at 0.9100
6. EURUSD: 87 Pips Loss
Original trade: Sell EURUSD at 1.2863 Stop level at 1.2950 Target level at 1.2700
7. GBPUSD: 122 Pips Loss
Original trade: Sell GBPUSD at 1.5488 Stop level at 1.5610 Target level at 1.5200
8. AUDUSD: 57 Pips Loss
Original trade: Sell AUDUSD at 0.9200. Stop level at 0.9280 Target level at 0.9100
9. GBPAUD: 78 Pips Profit
Original trade: Buy GBPAUD at 1.6754 Stop level at 1.6680 Target level at 1.6900
All forex trading postings are delayed, I can share live updates of my content via emails. If you are interested to receive live forex trading updates or learn forex trading online, send an email to me at atraderx@gmail. com .
Risk Disclosure
Forex 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 participate in the forex trading markets. Don't trade with money you can't afford to lose. This website is neither a solicitation to invest nor an offer to Buy/Sell futures or options. El desempeño pasado de cualquier sistema o metodología comercial no es necesariamente indicativo de resultados futuros.
Disclaimer
The purpose of this forex education website is for newbies or experienced traders to learn and build their confidence in Forex trading. We post our trades regularly as a prove of our forex trading strategies. Students can learn from our forex signals and have one on one coaching by subscribing to our forex education program. It is not the objective of this website to recommend buy or sell of any currency pairs discussed. Practical FX trading cannot accept liability for losses suffered by any party who chooses to rely on the website content carried on this website for making an investment or business management decision. We also cannot guarantee the accuracy of all information carried on the website. We are not registered as investment or financial advisors under the finance industry regulations in any country. We are happy to remain purely as facilitators of learning, discussion and further research by traders, investors, analysts, managers, and other users of our website
Canadian forex review: C$ closes stronger
By Commodity News Service Canada
WINNIPEG, June 9 – The Canadian dollar closed stronger against the US dollar Monday, following crude oil values as they rose in reaction to signs of improving demand and slowing production out of the US, analysts said.
The Canadian dollar closed at US$0.8100 or US$1=C$1.2346 on Tuesday, which compares with Monday’s North American settlement of US$0.8066 or US$1=C$1.2398.
Technical based buying and recent positive Canadian jobs data were also providing some support for the Canadian currency.
Though, ongoing expectations that the US Federal Reserve will raise interest rates later this year continued to overhang the market.
There was no significant Canadian economic data released on Tuesday. New housing and international investment data will likely provide some direction for the currency on Thursday, brokers added.
Canadian bonds were lower on Tuesday, following weakness in outside markets, brokers said.
The two-year bond yielded 0.661% Tuesday, from 0.629% late Monday. The 10-year bond yield was at 1.879%, from 1.814% Bond yields fall as their prices rise.
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