Forex Estudo A To Z
Aprenda Forex - curso on-line para novos comerciantes A palavra forex é uma contração das palavras de câmbio é às vezes abreviado ainda mais, e simplesmente chamado FX. Forex oferece oportunidades para a especulação, e que é provável que estimulou a sua curiosidade. Forex é simplesmente a negociação de moedas. No seu sentido mais amplo, forex inclui todas as compras comerciais e especulativas e venda de todas as moedas mundiais, tornando-se o maior mercado do mundo. Em uma troca do forex, uma moeda é comprada quando uma outra moeda for vendida simultaneamente em outras palavras, uma moeda é trocada para a que está sendo comprada. O termo forex refere-se adequadamente a todas as negociações de moeda feitas em qualquer lugar do mundo, no entanto, na prática, e no contexto deste site, a palavra é muitas vezes usado para se referir especificamente ao comércio de moedas pelos especuladores. O mercado de forex triplicou em tamanho, de 1,1 trilhões de dólares negociados por dia para 3,2 trilhões por dia em pouco mais de 10 anos, e tem sido amplamente operacional por cerca de 20 anos, de acordo com a mais recente Pesquisa Trienal do Bank for International Assentamentos. Em comparação, toda a atividade de bolsa em todo o mundo é de cerca de 2,8 bilhões por dia ou cerca de 10 vezes menor. A especulação do Forex envolve o risco, e inerente no risco é o lucro potencial mais em risco, mais lucro potencial. O mercado forex é enorme: verdadeiramente um mercado global, operando o tempo todo, com apenas um breve período de reflexão nos fins de semana. Devido a este tamanho e escopo global, os preços podem ser observados e negociados, mas não facilmente manipulados. As taxas de Forex podem ser afetadas por eventos em seu quintal ou em qualquer lugar do mundo. Quando tais eventos afetam o valor de uma moeda, o valor da moeda pode muitas vezes tender a tendência em uma determinada direção por um período de tempo. A análise da ação histórica do mercado de câmbio à luz das condições atuais do mercado (conhecida como análise técnica), possivelmente combinada com a consideração de eventos globais e mercados (análise fundamental) pode ajudar o especulador de divisas a ter uma visão dos mercados de câmbio que pode permitir ao comerciante projetar futuro Preços. No entanto, tal insight e sucesso potencial na especulação forex exige experiência, compromisso, disciplina e talvez um tipo especial de inteligência, e virá apenas em um investimento em tempo, experiência e perda financeira. Forex trading não é para todos, mas pode dar ao luxo de uma oportunidade de emoção e lucro para a pessoa certa. Onde o comércio de Forex Particularmente para especuladores privados, forex trading ocorre on-line. A maioria dos comerciantes de forex privados participam de casa ou escritório, através de seus computadores desktop ou laptop conectados à Internet. Na verdade, a Internet ajuda a explicar o crescimento dramático da especulação em moeda estrangeira. Comerciantes individuais, talvez apenas como você, em todo o mundo podem participar neste mercado on-line. Tradicionalmente, o comércio de futuros e ações ocorreu apenas em bolsas estabelecidas, onde as partes podem se reunir e concordar com um comércio. Ao longo do tempo, essas trocas tornaram-se sujeitas a regulamentações rigorosas para monitorar e moderar a atividade. Forex é denominado off-exchange trading, ou OTC (over-the-counter) como cada partido trata diretamente uns com os outros, onde quer que eles possam ser. Com esta liberdade vem algum risco, Além disso, está sujeita a regulamentos muito limitados. Como funciona o mercado Forex Até a década de 1970, e para os 100 anos anteriores, o valor da maioria das moedas estava vinculado de alguma forma ao valor do ouro. Em 1944, este padrão-ouro foi substituído pelo Acordo de Bretton Woods, que valorizava o dólar dos Estados Unidos contra o ouro, e todas as outras moedas contra o dólar dos EUA. Em 1975, esse acordo desmoronou e um sistema de taxas de câmbio flutuantes foi amplamente adotado, levando a flutuações nos valores de moeda em um mercado aberto - e lançando as bases para a especulação cambial. Hoje, a negociação em moedas estrangeiras por especuladores geralmente ocorre através de um corretor forex ou revendedor, que fornece a plataforma de negociação para negociar transações forex. Esses negócios ocorrem em pares de moedas, como o USDJPY (Dólar dos Estados UnidosJapanês). Note-se que duas moedas estão sempre envolvidos em um comércio de forex, com um comprado enquanto o outro está sendo vendido. O comerciante do forex prenderá geralmente a moeda comprada (chamada uma posição) por um período de tempo, pretendendo lucrar quando os preços das duas moedas mudam favoravelmente. A transação é concluída, ou a posição é fechada, quando a moeda oposta é comprado eo outro vendido. O lucro é calculado pela diferença no preço de compra e venda. Diferentes corretores oferecem diferentes serviços, e os comerciantes precisam ter cuidado com seu corretor está servindo seus melhores interesses. Cada corretor fornece demonstração ou prática contas, onde um novo comerciante pode jogar com dinheiro virtual até que se sinta confortável abertura de uma conta real. Análise pode ser concluída e encomendas são colocadas on-line, a pedido dos comerciantes. Por que o comércio Forex O potencial de lucro é por que os participantes entram no mercado. Mas por que um especulador optar por comércio forex em vez de ações ou futuros Forex oferece várias vantagens sobre a negociação especulativa em futuros, ações e outras ações. Oito principais pares de moedas dominam a maioria das negociações de moeda, por isso é um mercado muito mais simples para seguir para a maioria dos comerciantes. A grande maioria dos negócios envolve o dólar dos Estados Unidos, enquanto o euro, libra esterlina e iene japonês também são amplamente negociados. Embora a maioria da especulação monetária ocorre entre um número relativamente pequeno de moedas, muitas corretoras oferecem negociação em uma gama muito mais ampla de moedas menos comumente negociados. Alguns comerciantes em perspectiva que procuram participar na especulação são atraídos pelos saldos de conta baixos necessários para abrir uma conta forex com algumas corretoras. Por favor, leia sobre os tópicos restantes desta seção de educação forex para saber more. After entrar no campo de negociação real. Agora que a negociação praticada sobre a natureza de usar uma conta por padrão, por exemplo, durante vários meses e tornou-se um ter um mínimo de experiência e ter desenvolvido um método de negociação depende da maneira específica na análise de movimento de preços e provou a você Desta forma resultados eficácia de um bom processo na conta padrão e por um período relativamente longo. Ele agora está pronto, em princípio, a negociação real. Aplicando as regras anteriores você especifica a quantidade de dinheiro para negociá-lo e você escolhe a corretora e abriu uma conta com eles para começar com minimizado desde agora a verdadeira viagem no mundo da bolsa de valores especulativa de moedas internacionais. Através da prática que você fez no período anterior tornou-se bem versado movimento de curso de moeda e, assim, tornou-se familiarizado com a natureza dos riscos de trabalhar neste campo, como você pode reduzir esses riscos na medida do possível Há um monte de regras Que deve ser seguido antes e durante o logon da transação, incluindo: A primeira regra: Use o comando para reduzir a perda. Segunda regra: não perca mais de 2 - 2,5 de sua conta por transação. A terceira regra: baseou-se na análise de entrada e saída. A quarta regra é: não cair em um negócio ao contrário milha preço. A quinta regra: não comércio em tais momentos e condições não são adequados. E vamos explicar com algum detalhe as regras de extrema importância. É usado para reduzir a perda Uma das principais regras em lojas alwayes comércio com paradas. Nós conversamos sobre os tipos de página de pedidos para a redução da ordem stop loss e ordenou regras básicas Pena em lidar com ele. Na verdade, entre todos os tipos de comandos é reduzir a perda de ordem é o mais importante e mais necessário. Porque a redução da ordem de perda é a principal linha de defesa em sua proteção. Não espere um verdadeiro todo o tempo. Fez o esforço necessário na análise, mas é o que faz o movimento de preços está acontecendo começa em Maakcetk onde você começa enfrentando a perda com cada ponto provoca o preço. Esta coisa é esperada na volatilidade extrema do mercado como moedas de um mercado. Aqui vem o papel de reduzir a ordem de perda, que vai fechar o negócio antes que eles multiplicam sua perda em grande medida. Coloque a redução da ordem de perda antes de entrar no negócio é um profissional de receitas. Depois que analisa o movimento de preços de lojas de uma moeda e decidir sobre a base desta análise é entrar em um negócio vendendo a mãe de Hraoua determinar previamente o ponto será fechado em seguida, o negócio em caso de perda antes de entrar no negócio e Que, por exemplo, diz: Eu acho que o euro vai subir logo após o preço Sastraeh tão bem, mas se você não subir como espero que eu Saglq perda quando o preço do negócio também. Isto é porque a predeterminação para apontar Taqi lojas perda de cair abaixo do efeito psicológico na esperança do retorno do preço mais tarde. E fazer isso é muitas vezes a diferença entre lojas bem sucedidas e mal sucedidas. Disciplina A disciplina ea estrita adesão à análise de dados e ignorar o impacto psicológico é um dos fatores de sucesso mais importantes no mercado de ações especulativo e, portanto, uma das principais razões para o alto rendimento financeiro que vem com sucesso. A segunda regra Não perca mais do que 5 de sua conta em uma transação Quando você decidir entrar em um negócio vai determinar o ponto em que ele vai entrar um comprador ou um vendedor de uma moeda. Ponto que vai sair, então se Axk preço e sofreu a perda será determinada. O montante que você pode ter recursos para perder em uma transação não deve ser mais do que 5 do seu total. O que isso significa Suponha que você tem uma conta regular por 10.000 e decidiu se envolver em uma transação, isso significa que você pode calcular o preço que vai sair no caso de perda não será superior à perda que ocorreu para 500 que é equivalente Para 5 do seu total. Por exemplo: se você comprou 1 lote a um preço de GBP GBP USD 1.4500 na base que o preço vai subir logo após a videira vai colocar a redução da ordem de perda Colocá-lo ao preço de GBP USD 1,4450. Assim, você determina sua perda de 500 USD que é equivalente a 5 de sua conta. E se você comprou 2 Lott Se o preço chegou a GBP 1.4450 USD a sua perda é de 100, porque você tem 2 Lott e não 1 lote, e este montante é equivalente a 10 da sua conta para que você tenha duas opções: ou para estar mais perto de sair Em caso de perda do preço: GBP USD 1,4475 ponto ou não Lott originalmente comprar apenas um. Eu mencionei quando se fala sobre a redução da perda é que você não pode colocá-lo muito perto do logado no preço e 25 pontos estão muito perto do logon no ponto pode não ser se a colocar a redução da ordem de perda a um preço De 1.4475 não é deixado na frente de você, no entanto, não compre mais do que um lote. Se você achar difícil entender os ideais anteriores lembre-se do seguinte: Você sabe que o tamanho da perda depende do número de pontos que você perde e do tamanho dos contratos (croaker), que entrar nele. Quanto mais pontos você perder mais do que o valor que você perde 0,10 para cada ponto na conta normal e 1 para cada ponto na mini conta. Quanto maior o número de contratos comprados no negócio, mais lucro em caso de aumento do lucro e perda em caso de perda. Quando você entra em um negócio para colocar o ponto de perda para que você não vai perder neste negócio mais de 5 de sua conta. Nesta base, escolher o número de contratos eo preço que iria colocar a redução da perda é com ele. Se a sua compra para 2 Lott vai fazer você perder mais de 5 de sua conta nem sequer comprar 2 Lott Lott Comprar um. Embora o preço que iria colocá-lo reduzir a perda de ordem vai fazer você perder mais de 5 de sua conta - que aconteceu - você traz o preço do ponto de entrada para mais. Isso não menos que a diferença entre o preço de entrada ea redução de preço de perda para 30 pontos como mencionado. Por que eu deveria fazer isso Se você cumprir esta regra, forçá-lo a não se apressar para comprar grandes quantidades de contratos em antecipação grande lucro. Sim, a compra de 10 lhe dará um monte de lucros enormes que têm expectativas ratificadas, mas em troca vai causar perdas pesadas, se você acredita em suas expectativas. Se o tamanho dos grandes contratos entrou não acreditava que as expectativas têm que perder tudo o que você tem dinheiro e você não pode, então, mesmo ter uma chance de compensar o que eu perdi. Mas se isso não está comprometido a perder mais de 5 de sua conta, isso significa que ele vai permanecer na frente de você a oportunidade de uma ampla compensação do dinheiro perdido e proteger sua conta se exposto a várias perdas sucessivas. Não incluído no negócio, ao contrário da milha Preço Preço milha lojas amigo Trend é seu amigo Eu mencionei em uma página-milha preço que esta uma das principais regras que Stsamaha muito na análise de todos os mercados financeiros. Muitas vezes é aderido a uma causa significativa de sucesso. Quão restritivo sobre esta regra que não estão incluídos no negócio em oposição à tendência geral de milhas de preços. Quando você analisar o gráfico para uma moeda será um dos objetivos mais importantes é identificar a tendência para o preço desta moeda qualquer direção geral de movimento da taxa de moeda. É a taxa de câmbio sobe para cima tendência Ou para baixo para baixo tendência Ou que o preço é quase inalterado lado afastado Quando atingido para responder a esta questão, um gráfico de análise em vários quadros de tempo deve ser colocado para entrar Como um negócio na direção do preço e Interfere invertido. Por exemplo: se assumimos que você atingiu a milha libra tende a subir. É suposto ser todas as suas transações na libra é comprar a libra e não vendê-lo. Isso ocorre porque a tendência geral é o aumento da libra, mesmo se o preço da libra está actualmente a diminuir a qualquer momento voltar a subir. Então, sempre certifique-se de entrar um comprador para a fada e não ele como um vendedor. Você, se você vender a libra seria em seu melhor interesse para o preço diminui mais e essa tendência oposta ao preço, que está em alta probabilidade de ocorrência é menor do que a possibilidade de ascensão. Quando uma moeda de milha crescente tendência Uptrend certeza de ser um comprador para esta moeda. Quando a tendência descendente da moeda do MI para baixo a tendência sure para ser um salesman para esta moeda corrente. Porque a probabilidade de movimento de preços continuou com a tendência geral é maior do que a probabilidade Maacksth a tendência geral. A obrigação de entrar na direção da tendência de inclinação é susceptível de fazer suas transações mais sucesso do que suas transações perdedores, mas diz-se que esta tendência é o amigo das lojas. E se a milha de preço de ambos os lados do lado de distância não é qualquer para cima ou para baixo Não negocie a moeda que você não pode saber se para cima ou para baixo tendência. Se a moeda na qual o sequenciamento de uma milha de cada lado, esperar até que ele começa a determinar a direção do movimento de preços para cima ou para baixo porque a tendência lateral significa que o mercado é relutante em aumentar ou diminuir o valor da moeda e que a demanda É equivalente ao show, e geralmente é porque Aistmr muito rapidamente irá determinar a tendência do mercado é a moeda de movimento. Mesmo o mercado define a tendência, não espere para negociar na inclinação lateral. A quarta regra dependia da análise de entrada e saída Como dissemos, é necessário ter atingido um método de análise tem provado bem sucedido na conta de negociação por padrão e negociação real. Confia na intuição em suas decisões quando comprar e vender conduzirá somente à perda após a perda, mesmo que esta verdade da intuição às vezes. A natureza humana imposta às lojas que caem presas aos efeitos psicológicos antes e durante a celebração de um acordo. Ele destacou os sentimentos psicológicos que as lojas enfrentam são: Medo Medo e Ganância Ganância. E são muito mais inimigos lojas acordo todos. Greed pagou lojas para entrar em um negócio antes de ter estudado o mercado racionalmente e antes que a análise comprova a segurança da decisão. O negociante pode estar em um negócio bem sucedido, mas não fechar o negócio e obter mais lucro na antecipação do lucro apesar do fato de que a análise sobre a necessidade de alertá-lo fechar o negócio imediatamente, qual é o resultado O resultado é tornar-se um Perdedor depois de você um vencedor. Assim, simplesmente Medo pagou lojas de entrar em um acordo, apesar do fato de que todas as evidências indicam que sua análise gráfico confirma a segurança da decisão de entrar. As lojas incluídas no acordo após uma longa análise, mas o que entrar até que o preço começa em Maacksth Vidfh medo de aumentar a perda para fechar o negócio cedo sobre a perda, apesar do fato de que a análise não indica a necessidade de sair, O que é o resultado O resultado é que o preço na direção do lucro até mesmo um pouco de paciência lojas para se tornar um vencedor, em vez de um perdedor sem desnecessário. Isto é o que queremos dizer quando dizemos que a necessidade de confiar na análise de entrada e saída. Isso ocorre porque os efeitos psicológicos são os maiores inimigos das lojas em tudo e que faz esses sentimentos para comprar e vender decisões para você é a base de suicídios na área de especulação nos mercados financeiros em geral e no mercado de moeda em particular. O que devo fazer Compromisso análise Quando assegurar-lhe gráfico de análise técnica, sabendo milha preço e pontos de apoio e resistência e através de você continuar a indicadores de dados e você comparar tudo isso em mais de um prazo, se concluído que a moeda vai subir Comprá-lo e se encontrado, vai cair Venda seu além dos sentimentos sobre isso. Não corra atrás da esperança de oportunidades de lucro, mas Mark oportunidade vir a você e deixar a análise é para confirmar que você faça isso. Quando você está conectado a um negócio indicadores e começou a sugerir-lhe que o movimento de preços começou a andar na direção oposta sair imediatamente assim se eu fosse uma sensação de que o preço vai voltar e ir em uma direção rentável para você, como este Sentindo-se muitas vezes é o resultado de sentimentos conflituosos de medo e ganância, e não uma forma de Cruel agarrar o futuro. Na verdade, a adesão estrita à ex-Al Qaeda não é nada fácil, somos seres humanos e temos dificuldade em separar os sentimentos de medo e ganância durante o curso do negócio, então eles dizem necessidade de praticar para o montante máximo De tempo porque a prática só é capaz de treinar lojas que foca reputação no que ele diz análise e não o que você diz próprios sentimentos. Não comércio nos tempos e circunstâncias é adequado Análise de gráfico e acompanhamento taxas de câmbio exigem muito tempo, esforço e paciência intelectual. Se você não estava apto fisicamente, psicologicamente e intelectualmente para negociação é melhor que não comércio naquele dia. Não há comércio e você está doente ou em condição psicológica ou anormal intelectual, isso pode levá-lo a decisões incorretas e apressado. Se um mau negócio fechado é melhor deixar o comércio por algumas horas para que você possa restaurar a calma psicológica e intelectual não recorrer ao método não vai deixar o dia de negociação mesmo resgatar o perdido Isso pode lhe trazer mais perda Porque pode empurrá-lo Para entrar em negócios imprudentemente e impulsivo. Perda em negociação no mercado de ações é uma realidade, inevitavelmente, independentemente de suas habilidades e experiência. Ninguém pode esperar que acredite o tempo todo. E quando você perceber que a perda na negociação é inevitável normal, um preço deve ser pago entre agora e então ele ajuda você a aceitar essa perda. Perdido hoje Você não pode compensar essa perda amanhã ou depois de amanhã De fato, o comércio de moedas, cheio de oportunidades e tudo o que queremos é aproveitar apenas uma chance. E não se esqueça que isso se aplica a todas as áreas do negócio como se aplica à especulação de bolsa, embora sua aparência no mercado de ações e destacou mais claramente do que outros. Sim. Você não é forçado a abrir um negócio em cada dia. Se você não estava apto a negociação é melhor não oferecer para o comércio até encontrar o momento apropriado e circunstância. Extrema volatilidade do movimento de moeda faz muitas oportunidades de mercado e muito perigoso ao mesmo tempo. Quanto maior o risco é maior do que a possibilidade de lucro. E lidar com um mercado muito sensível como uma moeda de mercado requer um monte de lojas de esforço intelectual e psicológico e requer paciência e disciplina na medida do possível. E para respeitar as regras anteriores antes de entrar no campo de negociação real e depois de entrar nele permitirá que você seja um vencedor na maioria das vezes e isso é tudo muito traficantes que procuram lucrar no mercado financeiro trabalhar. Você deve concluir que você entende a base do sistema de negociação de margem que a maneira mais rápida de fazer grandes lucros várias vezes maior do que o capital investido. Van capaz de negociar com um valor de 100.000 euros, por exemplo, em troca de pagar o montante de 500 como um depósito reembolsável e, em seguida, você tem um lucro total e se você já possui este montante, é susceptível de trazer-lhe retorno que excede vários Vezes o montante que Ststthmrh na negociação e por mais do que qualquer outra forma de dividendos formas de investimento, incluindo o Aigas. Tudo o que você tinha a fazer é comprar a moeda que você espera subir e vender quando eles realmente subir. Ou para vender a moeda que você espera para ir para baixo e comprar quando você realmente ir para baixo. Para cada ponto de um preço elevado quando você compra a moeda você recebe 10 para cada lote de moeda (na conta ordinária) caso. Para cada ponto um preço baixo quando você compra uma moeda você recebe 10 para cada lote de moeda. Taxas de câmbio em movimento constante em torno do relógio em qualquer moeda por dia média móvel entre 50-200 ponto para cima ou para baixo. Isso significa que há sempre uma oportunidade para enormes lucros a cada dia. Despedido para libertar a sua imaginação e imaginar como você será capaz de ganhar pontos diariamente. 50 pontos, por exemplo, isso significa 500 lucro em cada lote negociado por. E assim por diante. Moedas Valmtager em particular, não temem uma recessão, mas não temem Aehmh vendas e preços mais baixos a subir ou cair. Valamkaneh sempre disponível para o lucro, se a venda ou compra de moeda e se o preço subiu ou caiu. O conteúdo de lucro e um enorme e rápido. As expectativas ratificadas, aqui estão o ponto crucial, e aqui o capítulo crucial entre lucro e perda. Sim, a previsão de que a moeda vai subir Então eu comprei youll obter 10 para cada ponto de um preço elevado. Mas o que se o preço sobe Vai perder 10 por cada preço gota ponto. Se o preço caiu 50 pontos para perder 500 e este montante será deduzido da sua conta. Trata-se de verdade negociação de moeda ou de negociação em qualquer mercadoria ou serviço qualquer. Se o preço da mercadoria cair abaixo do preço de compra sofrerá uma perda. Qualquer negociante retém a compra de uma mercadoria para negociação somente depois que se espera que o preço vai subir, mas isso não significa que ele garante que o direito de esperar. Não há nada no conteúdo deste mundo. A questão deve contar com a saúde comerciantes, o comerciante era um experiente e experiente no mercado, a previsão será correta na maioria das vezes, mas não necessariamente o tempo todo. Isso é suficiente para alcançar o lucro líquido comerciante a cada mês. E assim são o comércio eo investimento Há sempre um risco em face do elemento perda. Ele não quer arriscar que ele Aitager originalmente. Quanto à possibilidade de risco lucro rácio. Investidor que depositou dinheiro no banco em troca de benefícios anuais não terá mais de 4 retorno sobre o seu investimento no ano. Quanto a quem investe seu dinheiro em especulação de moedas obtém lucro perdido para exceder 1000 retorno sobre o investimento possível e muito mais. Qual é a diferença A diferença é a razão de risco Em troca de que você obtenha um retorno em 100 Garantido você não terá mais de 4 retorno anualizado. Mas, a fim de obter uma recompensa de até 1000 e mais você não tem escolha, mas para enfrentar o risco de perda. Um fato que se aplica a todas as formas de investimento e comércio de qualquer mercadoria em qualquer lugar do mundo. Como eu aprendi as moedas de negociação verificar os ganhos materiais enormes Por outro lado, há um risco muito alto de investir em moeda especulativa. É um fato que deve ser aprendido bem: é que investir em moeda especulativa é considerada uma das formas mais perigosas de investimento em tudo. Existe a possibilidade de ganhar dezenas de vezes a quantidade que vai funcionar. Sim, isso é possível. Há uma possibilidade que você perde toda a quantidade que trabalhará. Sim, isso também é possível. Qual é o risco de especular sobre as taxas de câmbio A resposta pode ser resumida em uma frase. Volatilidade extrema Alta volatilidade Os preços cambiais mudam constantemente e os preços variam o tempo todo, o que é altamente vulnerável a variáveis econômicas e políticas e às vezes inesperadamente. Esta natureza na moeda faz o sinal da direção do preço não é fácil em tudo. Como mencionado, a taxa de câmbio diária de moeda varia entre 50-200 pontos para cima ou para baixo, se esses pontos contra os quais virou fisicamente youll achar que isso significa enorme som dia você pode ganhar ou perder. Isso depende da saúde de suas expectativas. Pode esperar taxas de câmbio Como eu aprendi com a resposta anterior. Sim. O movimento das taxas de câmbio, embora muito flutuação e volatilidade, mas não é aleatória, mas o movimento fundado tendências tendências e poderia ser prever com antecedência e muitas vezes acreditam essas expectativas, o que significa enormes lucros. E agora você sabe que você pode esperar preços de moedas através da análise de ambos os tipos de chave: Análise Técnica Análise técnica de notícias econômicas e análise Análise fundamental. E como você sabe que queremos fazer a análise de acompanhamento do movimento de preços para um período do passado até mesmo inferir a possibilidade de direção futura. Você não pode esperar essa reação alguém a Atarafh. Mas se tratado com ele tornou-se aprender reações anteriores a diferentes situações que você pode esperar que seu futuro para fazer uma certa posição. Claro que há uma diferença entre o comportamento dos seres humanos e entre o movimento do preço, mas o preço é, em última análise, um reflexo da demanda e oferta sendo feito por pessoas ao redor do mundo. E a oferta ea demanda é afetada por certas variáveis econômicas e políticas são conhecidas. Se, em princípio, pode analisar o preço esperado movimento previsão de direção de preço e, portanto, pode ser invocado tomando as decisões de compra e venda. Mas, apesar desse conteúdo Vlaci. Variáveis que afetam o movimento de preços e muitas vezes contraditórias. Isso torna o sinal da direção do preço de uma moeda - ou ação ou mercadoria - uma questão de probabilidade. Era mais provável que o preço da moeda vai subir vai comprá-lo e vice-versa. Quanto à sua prática e você continuar a taxas de câmbio ea extensão para expandir o seu conhecimento dessa área, tanto quanto aumentar a sua experiência e sua capacidade de corrigir a expectativa. Esta é uma questão que exige muito esforço e tempo e acompanhamento e insistir. Uma questão que vale a pena o esforço porque o rendimento do material elevado. E muito alto. Em caso afirmativo, como pode mitigar o risco de especular sobre as taxas de câmbio Existem duas fases principais: 8226 Antes de entrar nesta área originalmente. 8226 Depois de entrar nesta área. Cada etapa cumprir as regras leva a aliviar o nível de risco a um mínimo, dando às lojas a maior oportunidade para o sucesso. Essas regras são chamadas de regras gerais de gerenciamento de riscos. Regras de gerenciamento de riscos, que discutiremos em detalhes por causa de sua grande importância. Antes de entrar no comércio real Existem algumas regras básicas que devem ser seguidas literalmente antes da negociação real, a saber: A primeira regra: Não comércio com dinheiro real muito antes do treinamento e prática. A segunda regra: o montante de investimento que você pode dar ao luxo de perder totalmente. A terceira regra: começar a negociar mini-conta. E vamos explicar as regras de extrema importância: Non-trading dinheiro real antes do treinamento real e prática Sim. Você não pode correr o risco de que seu dinheiro no campo para entender onde nada. Deve primeiro ser bloqueado nesta área por meio de demonstração virtual virtual você pode abrir um placebo conta virtual e, em seguida, comprar e vender moeda para esta conta, se eu ganhei lucro adicionado à sua conta e se você perder deduzir a perda de sua conta, onde estão todos Os processos em termos de procedimentos e como implementar as ordens e taxas de câmbio e tudo o que respeita ao comércio como uma conta real, mas não contém dinheiro perdido se você não vai perder nada na verdade. A conta padrão é a indispensável necessidade de aprender a negociar preços de moedas sem sofrer uma perda real, onde você será capaz de praticar e ganhar experiência e testar suas expectativas e aprender muito sobre o movimento Alosar e natureza sem perder alguma coisa. E depois de terem praticado negociação virtual para o maior tempo possível e depois de se tornar confiante da saúde de suas expectativas e sua compreensão do movimento de preços e influências que afetam-los e só então você pode começar a negociar com dinheiro real. Como é o período em que eles devem exercer quando uma conta padrão Por quanto tempo for possível. Na verdade, não pode determinar um determinado período, mas isso depende da questão de até confiar em si mesmo e compreender a natureza do mercado ea precisão de suas expectativas. Flaani para obter um lucro em alguns negócios que você pode se tornar apto para o comércio de dinheiro real, estes resultados podem ser o resultado de coincidência e não mais, mas não pode negar que só após os resultados processo Tc está em curso lucros por um longo tempo . Em resumo. Você só pode decidir quando mover a negociação real, se você quiser especificamente, dizemos que você não deve ser a negociação real começa seis meses de negociação antes de calcular Predefinição Antes de provar resultados práticos que melhoram o seu estilo por trás de um mês meses. No final A decisão é só sua. Snrushdk para endereços de empresas de corretagem que permitem que você abra uma conta gratuita por padrão, ea maioria dessas empresas permitirá que você faça isso por um período de um mês, mas recomendamos que você a renovar várias vezes. Não se esqueça que mesmo comerciantes profissionais sempre têm um contas virtuais estão testando novos métodos de previsão e negociação e aprender um monte deles sem ter que sofrer a perda. Padrão Valhassab a necessidade de profissional e inevitável para o novato. A segunda regra quantidade de investimento que você pode dar ao luxo de perder totalmente Uma das regras básicas para evitar os efeitos negativos dos riscos de especulação de moeda. Quando você decidir começar a negociação real e determinar a quantidade de sua conta aberta, ele deve ser capaz de perder essa quantidade inteiramente sem afetar a situação física. What does this mean This means that you can not in any way that trade Astdntha funds for this purpose. Or be traded funds represent a large percentage of your savings. But for only Atbdo that lost entirely will not affect the physical situation dramatically. As we said, the speculation on the currency investment with a high risk, it put all your money in such an area is very crap without a doubt. Sim. Its great to fight in this lucrative field, it is necessary that Atadhaa yourself a chance of large and rapid material gains can be achieved in this market, but the mind every mind telling you that to let the lure of these profits Tamik about the fact that speculation in the currency is a risk high may cause Bouksartk for the entire amount in your account very quickly. Some have made millions from behind the speculation in the currency markets and other market. Some have gone bankrupt from behind the work itself. So it is advisable for people wishing to start trading real money to ask himself the following question: How is the amount that can be sacked by going against the experience in this area The answer varies from one person to another depending on the circumstances and objectives and the potential of each person. Start trading mini account That we mentioned in the table on page normal mini account and the account see the main difference between a mini account plain account. As you can see, the mini account represents ten ordinary account in everything. It is the main rules that you must follow to avoid the ill effects of speculation on the currency after practice on a default account that the actual start trading mini account avoids heavy losses and earn you a good profit to be able to the currency market and be able to amplify your capital so you can then go into the trading unusual account . It is very necessary for every beginner that withholds actual trading only through a mini account first, even if the results of the exercise of the default account for a long time is excellent. Because there is a difference between the virtual trading account and the actual account. Many novices are making excellent results on the default account, but when they move to an actual account suffer loss or Aahakqon the same excellent level they have achieved in the default account. The answer: the psychological factor. It is one of the most important factors that influence the success or failure of shops. Valmtager who used to trade the default account knows that he will not lose anything on the truth and this makes it a high degree of mental calm and patience and the ability to withstand the temporary price changes. For example: Suppose you bought 1 lot of currency on the basis that the price will rise 100 points. As you know from the nature of the price movement that the price will rise once more connected. It will go up a bit, then fall, then return to high and then fall over and then rise again, and so the moment behind the moment. Sim. in the end, and after a few hours you will find that the price has already risen 100 points, as expected, but this is done in most cases gradually. For stores calculates the default issue does not affect him too much, he is when he sees that the exchange rate started to decline will not be afraid to anything as long as it is confident of Health to expect and why he knows that even if the expectation did not believe he will not lose anything so it Sasber that the price rises to 100 points as expected. The shops calculates the actual story is entirely different for him. When you buy 1 lot of currency and the price starts to decline, it will be seen that he began to lose from his account for every point of 10 in normal and 1 in the mini account account, and this time will cause him a lot of tension and fear of the increased loss was rushed and sell at a loss, but if patience is a little back to the price rise as predicted. Indeed, trading in the financial markets is a war of nerves in the first place. 50 and lose a lot easier than to lose 500 in one transaction. So the beginning of the actual trading account must be minimized even calculates the test yourself and see the impact of the movement of prices on the endurance and strength of nerves and this avoids a lot of the losses that you may experience that began directly in a normal account. You also need more practice and experience, and account mini earn you less risk and at the same time the possibility of achieving a very good profit. Then beware that the actual trading begins normal calculates Standard account Whatever your results in the default account excellent. May lead to the evaporation of your account within days. Actual trading starts only calculates the mini Mini account Always remember that. In fact, there are a lot of professional traders who content themselves to work in a mini account all the time, the profits of large and flexibility to make it a mini account is very attractive, especially for beginners and owners of small accounts. Keen shops in any kind of goods on which he plans to follow up this item traded price continuously in search for a suitable opportunity. You may be interested in trading in cars, for example, it is natural to be up to date car prices continuously If you find that the car price became too low Vstmutir to buy them on the grounds that the price will go up later, but you may find that it is appropriate to wait for some time before offering to buy you expects the price drops more to come back before the rise. This requires you to continuous follow-up and found that the price of buying a suitable offer to purchase, or wait until the price drops more then offers to purchase. As well as trading in currencies. When you are watching the currency waiting for the right opportunity to buy a currency when you expect that the price will not drop much, but then pick up, it may need to wait some time until the exchange rate then decreases more progress on the purchase. If we assume that you are watching the price of the euro was at this moment EUR USD .9000 And found through your analysis of price movement that the euro will fall more than that, but it will resume rising. What do you do Exactly. seize the opportunity immediately and buy euros because you expect the price will rise. Ask to buy euros at the current price. When you do that may be used first type of commands which the market is Market order. Market Order Market Order An order to buy or sell a currency immediately and the current market price. To go back to the previous assumption that the euro as EUR USD .9000 price Suppose you and through your analysis to the price of the euro, you expect that the euro will fall more before re-rise and you expect that the euro will fall first to be up to EUR USD .9850 and then re-rise. What do you do Yes. you have to wait until the price drops and up to 0.9850 and then you buy. But that may require you to wait several hours until the euro up to the price at which you expect, does it mean that you have to remain glued to the computer several hours waiting for this moment Here comes the role of limit orders in advance Limit entry orders It predetermined Limit Entry Order An order to buy or sell a currency at a predetermined price by you, if the price of the currency actually arrived to the price set will be implemented and if it did not reach the command is executed. In our previous example will determine the price of 0.9850 to buy and so you say to the brokerage firm you are dealing with: If you arrived to the price of the euro bought 0.9850 euros lot to me - or any number of croaker want - then you can leave the computer and attention to something else. If the price of the euro to 0.9850 already reached the company will buy you a lot of euros and if the price was not up to 0.9850 will not implement it. Will do so via command by platform workstation and used to deal with the brokerage firm status and youll find complete instructions on how to pre-set orders placed an issue that require only a few clicks of a mouse. This is the interest of limit orders in advance to give you a field of interest with other things without having to wait. Types of predefined commands There are four types of limit orders in advance all possibilities of the price movement of a currency which covers two things and two things out of the entry: Exit predetermined commands: Is the reduction of the loss Stop order. Limit order take profit order. Entry Orders predetermined: Order entry for the price of an apostate Entry limit. Order entry for the price of a continuous Entry stop. I hope you do not feel overwhelmed by these species, purpose of which is to cover all the possibility of price movement so that you can at your analysis to the price of the currency to put these commands to be executed automatically without the need to remain glued to a computer for long hours, and because of these types of commands shops can be makes his work in speculating on currency rates partly pursuant part time where all you have to analyze Saralamlh If arrived conviction about the direction of price movement will develop a sales or purchase orders and determined in advance where you can then leave your computer and attention to another job and you are assured that whatever price movement currency, the orders will be implemented in the form that you specified in advance and automatically and without intervention from you. With a little practice you will find that dealing with these commands a very simple matter. And now we will explain in detail each type of limit orders in advance: Exit predetermined orders Is the reduction of the loss Stop order Something which determines the price at which it will close the deal if the result is lost. For example: Suppose you bought a lot of euros at the price of EUR USD .9000 on the basis that you expect that the euro will rise after that. You know that every point rise by the price of the euro over the previous price to win 10 in normal - 1 in miniature - all point drop from the previous price of the euro price calculation account lose 10. Suppose you bought a lot of the euro the previous price and you would like to leave the system and stop the follow-up, but you are afraid to drop the euro and continue the meaning of the decline that your loss will continue to increase if the price dropped 30 points to lose 300, and if it continues more decline and fell 60 points to lose 600 and so on. You can specify in advance the maximum you can afford to lose this deal with the reduction of the loss Stop order is so that the pre-determined price at which the deal will close by in case of loss. In the previous example, I bought a lot of euros at a price of 0.9000 on the basis that its price will rise, will determine the price of reducing the loss of 0.9850 and so you say to the brokerage firm that buys you a lot of euros at a price of 0.9000. If the price dropped and began to lose and the price reached 0.9850 to shut the deal, fearing that price will continue to decline and thus bris has identified earlier in this deal for 50 points. You can then determine the price of reducing the loss of you leave your computer and you are assured that no matter what the euro has fallen will not lose more than 50 points because when the price of the euro up to 0.9850 and the company will automatically close the deal will not lose more. On what basis is determined by the price reduction of loss Answer: The issue mainly depends on your analysis of the movement of the exchange rate has reached to the conclusion that the euro after hitting a price of 0.9000 will rise and on that basis decide to buy it, but that does not mean that the price when actually up to 0.9000 will resume the rise immediately but could fall some more thing to 0.9890 and then re-elevation may fall to 0.9875 and then comes back up, no matter how accurate your analysis was rarely able to determine the point at which the price rise comes back exactly. But you through price movement analysis up to believe that the euro if it arrives for the price of 0.9850, this means that the wrong your analysis - or is there has been political or economic circumstances - and therefore as long as the price reached to this point, it will not come back to rise and will continue to decline, at this particular point will put the price of reducing the loss at any price you lose with it the hope that the price will resume rising. Importance of reducing loss order There is a rule that says: Always trade with stops which do not trade only after it determines in advance of your loss. What does this mean Often buy some currency traders on the grounds that the price will rise or sell a currency on the basis that its price will fall, but things do not go as expected and the price starts Palmaxh starts loss: 20 points. not quite pick price improvement. but it is not getting better. 40 points. it does not matter will return for improvement. but it is not getting better. 80 points. great my loss has become perhaps Ill wait for the price improves lighter than my loss. but it is not getting better. 120 points. problem I can not accept this loss will wait Perhaps the price is improving, even a little bit. but it does not get better. 200 points. Wow Ialitny accepted the loss when she was 40 points. So as you can see to leave things without pre-determined price, which will close the deal in which in case of loss makes you vulnerable to the psychological impact on the hope that the price is getting better and returning to profit or at least mitigate the loss may result in your this hope because multiply your loss several times, which makes you have to accept a heavy defeat. So which is better to be exposed to such a critical position or that you have determined in advance the price at which you lose hope for him on the basis of analysis and not on the basis of the psychological impact. it connects you to the analysis that the price if Axk 40 meaning that point he would not return for improvement and that your analysis was wrong or may may have occurred in the circumstances of what will not be back after the price of the improvement, the losing 40 points better than to lose 200 points could mean thousands of dollars. Accept for the loss, Ltd. is a professional recipe shops. It is important that this loss be based on analysis and not on the basis of expectations based on the psychological effects which have claimed many of the traffickers accounts. Question: If I will set my loss at a point very close to the point of entry so as not to lose too much if Okhtit in the analysis, for example, if you bought the euro at 0.9000 I will set my loss at a price of 0.9895 if any mistake analysis will not lose more than 5 points and the better right Answer: No, not as well. Are you one hundred percent sure of that when the price reaches 0.9000 exactly will resume rise As mentioned, even if your analysis is correct rarely able to determine the price at which the price will come back with him to appreciate exactly. Price was up to 0.9890 and then re-height If you have identified your loss at 0.9895 meaning that you will come out a loser 5 points at a time when your analysis it is true, if you are given more room to yourself and the patient a little bit out of the winner instead of a loser out of 5 points. You can not define your loss at a very close because you do not know the exact price you pick has a price rise. You may not be your loss and determine the price is too far so as not to become a heavy loss. It is like a middle range. The adequacy of any remote area, so give yourself for profit and so close to the adequacy of your loss limit as much as possible in the event of a loss. If km point should I set the price reduction of loss The answer: You must make the analysis is the basis for determining that, but initially prefer not to at least limit the point of loss of 30 points or Andmatstrae euro on the price of 0.9000 is not preferable to determine the loss of more than 0.9870 because it is very contained the price drops up to this point and then return to high. In fact, the point is that place then the price reduction of the loss stop is one of the most important decisions that must be identified in the transaction is an issue that depends on your ability to withstand the loss on your analysis and your style of trading is generally accurate an issue vary from one person to another and improve practice and train for and training. Lets take some examples of how to limit the point of loss: Would buy a lot of euros at a price of EUR USD .9850 select the stop loss point The answer: we will put something to buy the euro on the price of 0.9850 and put the stop on the price of 0.9810 and thereby determine the loss that got 40 points. Lott will sell at a price of GBP GBP USD 1.6098 select point loss Answer: We will put selling price is 1.6098 and we put the stop on the price of 1.6143 and thereby determine the loss that got 45 points. The yen will buy on the price of USD JPY 118.50 select point loss The answer: we will put something to buy at the price of 118.50 yen important to us that the yen rises against the dollar, so we will put the stop at a price of 119.00 because if the price reached 119.00 meaning that for the yen fell. Valin currency indirectly, and thus determine losing by 50 points. Will sell the Swiss franc on the price of USD CHF 1.4560 select point loss Answer: We will put the sale price at 1.4560 and concerns us here is to drop the price of the franc, we will put the stop at 1.4500 because if it came to that price be the franc has risen Vafrenk currency indirectly, and thus define our loss with 60 points. Is the reduction of the loss Stop order When you buy. be the stop point less than the purchase price. At the point of sale. be the biggest stop of the sale price. When you buy. be the stop point is greater than the purchase price. At the point of sale. be the stop is less than the sale price. Take profit Limit order is Something which determines the price at which he has closed the deal in the case of a profit. For example: Suppose you bought a lot of GBP price and what you expect the pound to rise 80 points. In order to get the profit you should wait until the Fairy actually rises 80 points may require several hours, you can use here is take profit limit order sets the price that you want to close the deal in the case of a profit. Vlovrdhana you bought Fairy at a price of 1.6000 and you expect the pound to rise 80 points, you can then put take profit order at a price of 1.6080, ie you say to the brokerage company if the price of the pound 1.6080 closed the deal for, will execute this command automatically without the need to be present in this moment. You can set this up after you leave your computer and you are assured that if the price reaches a point at which you selected will be able to reap a profit without the fear that the price back down and you get lost and so the opportunity to get 80 points. On what basis can I put my take profit point Issue depends on the shops and on the style of trading Strategy Some specify in advance a certain number of points and some specify a fixed amount, but the best method must be determined on the basis of analysis If the analysis indicates the likelihood of the currency for a certain number of points higher before they fall back is better to be determined point take profit limit order at this point or a point close to it. Lets take some examples of how to determine the take profit points: I bought a lot of euros at a price of 0.9500 select the take profit points Answer: We will put profit-taking point limit order at a price of 0.9550 which we ask the company to close the deal when the price of the euro up to 0.9550 and thus we define a pre won by 50 points. Sold at a price of 163 1.6230 select the take profit points. The answer: the deal started to sell and profit is achieved if the pound fell, we will take profit order at a price of 1.6170. Thus, we define profit by 60 points. Yen bought at a price of 118.50 select the take profit points. Answer: I will put take profit when the price of 118.00 points, when the yen for this price have risen 50 points up, this matter may be identified Rbjee with 50 points. I sold the Swiss franc at 1.4500 select the take profit points. The answer: the profit achieved when the price is reduced because the process franc began to sell, I will put profit point at a price of 1.4620, and so I have identified a 70-point profit. Take profit Limit order is In the case of the purchase price will be reaping the profit is greater than the purchase price. In the case of the sale price will be reaping the profit is less than the purchase price. In the case of purchase reap the profit is less than the purchase price. In the case of the sale of profit-taking is to be greater than the purchase price. If you find it difficult to understand or keeping these rules would be useful and very easy for you to remember the following charts showing where will put the reduction of loss Stop order is and is reaping the profit Limit order direct and indirect currency and in the cases of buying and selling each of them as you can see in the following table : Direct currencies such as the euro and the pound When you buy direct currency A Stop command in the bottom of the purchase price chart And be ordered Limit above the purchase price in the chart Because when you be interested in buying candles rise in the graph As you can see in the chart below When selling direct currency Stop command is the highest selling price in the chart And be ordered Limit down sales in the chart price Because when you be interested in selling candles down in the chart As you can see in the diagram below The other way in which the price movement analysis, a method which is based on the study of economic and political influences and predicted impacts on the movement of the price of a currency. If the technical analysis based on the study of price movement only, the news analysis is based on an analysis of the reasons for this movement. Economic and political effects may be long term or short term. Long-term economic influences, is what he is examined by economists and by analyzing the economic situation of the country and compare the economic situation of other countries in an attempt to estimate the impact on currency rates, and such an analysis requires a broad economic background are not available to non-experts, such an analysis is beyond the functions of the normal shops who trades currencies on a daily basis and on the basis of quick transactions, but is within the interests of the large financial institutions that would be interested to exchange rates foresees a long range of up to years ago to invest huge sums in the purchase or sale of these currencies. As for the regular stores, the news analysis interested in the following form: Every day the major economies such as the United States, Japan, the European Union as a whole and Europe Home such as Germany, France, Italy and Britain separately are these countries a week to issue a lot of special economic data for each of them, this data directly affect the exchange rates for these countries. For example: the euro is high it may be against the dollar at a price of EUR USD .9850 but at eight oclock EST (EST) issued US economic data indicate the strength of the US economy in certain aspects, the emergence of such data to the rise in the US dollar could lead to become after EUR USD 0.9700 hours, for example, data such as these reinforce investor confidence in the US economy, which helps to increase the demand for the purchase of shares and American investments and thus increase demand for the dollar, leading to high price against the euro. The exact opposite happens if the bad economic data for the US economy. Such economic data that affect exchange rates for short periods, such as the impact of interest to myself shops currencies. Sometimes one of the officials in the countries in one of the major economic issue a statement which could lead to the high price of the currency or fall. For example: the Japanese Central Bank President may authorize a permit may lead to the rise or fall of the yen against the dollar, sometimes dramatically. How do I know about the emergence of this economic data and statements The most brokerage firms offer stores graphs Service currency rates paid or free service, they provide news service where can shop through the charts of the major news and read up immediately stores the program. There are plenty of sites that offer news service of interest to shops currencies is free shops can access these sites and read the news. Não se preocupe. it does not mean that you are obliged to stare all day on your computer waiting for news or economic data. Important economic data is to be known in advance the date where you can get from many sites on the agenda Calendar for the most important economic data to be released next week, in the form of a table showing the state in which the statements will be issued and the type of data, time and predicted the experts of the data that will be issued. If there are important data can know in advance of the date immediately following the result by the news service provided by your brokerage firm or by specializing in news sites like forexnews. You are also using the WAP technology you can read this news by your mobile phone or laptop by LAPTOP What is the most important economic data to be issued There is a lot of data which is published weekly, we will mention the most important of these data and their impact on exchange rates: Consumer Price Index Consumer Price Index (CPI) An indicator to measure the rise in commodity prices for the consumer. The higher this index was greater compared to the previous month, or month to month compared to the same period of the previous year, year to year, the impact will be negative for the currency as its price falls often. For example: if the consumer price index in the United States 3 for the month of December, while it was 2.5 in November, it is a bad news for the US economy because it means a rise in inflation, could lead such a story to the low dollar against the following currencies and this compared month to month Month to Month (M M). The comparison with the month of December of the previous year compared to the year called for the year Year to Year (y y). Producer Price Index Product Price Index (PPI) An indicator to measure the rise in commodity prices for producers and manufacturers in the production inputs. The higher this index increased currency goes down. Retail Sales Retail sales index An indicator measures the rate of sales in the consumer goods, the higher the rate rises because the sales price of the currency rise guide to the health of the economy. Wholesale sales index Wholesale index Index measures the producers who sell their goods wholesale sales, the higher the rate rise because the high price of the currency wholesale sales guide to the health of the economy. The budget deficit Balance deficit An indicator measures the level of the deficit in the state budget, and whenever led to currency devaluation deficit rose to this state. Trade Balance Trade balance It measures the extent of the surplus or deficit in the exports and imports of the state, the state that have a trade surplus with another country or the world with its exports of goods will be more than its imports, and vice versa for the State that the trade deficit. Whenever the trade deficit increased to state whenever led to lower the price of its currency. Unemployment rate Unemployment rate It measures the number of citizens of working age who are not finding work, the higher the unemployment rate increased led to currency devaluation because it shows the weakness of the economy in this country. Jobless claim jobless benefits It measures the number of citizens who receive unemployment compensation from their governments, which is similar to the previous index has the same effect. Consumer Confidence Index Consumer confidence index An indicator measuring consumers confidence in the state and local economy, which is an important indicator, and the greater consumer confidence in the state economy, the higher the price of the currency. Product Confidence Index Producer confidence index It is similar to previously unknown but measures the producers and manufacturers confidence in the states economy index, the greater the producers confidence in the economy was a sign of the health of the economy leads to the high price of a countrys currency. GDP Gross domestic production (GDP) An indicator measures the volume of goods and services produced in the local economy, and the greater the volume of production was a sign of the economic activity which leads to the high price of a countrys currency. Key interest rate Interest rate It is a very important indicator little impact on the local economy, as officials in the central banks of each country meet to determine the key interest rate on loans, which in turn affect the interest rates on loans granted by commercial banks for producers and consumer prices. The decision of the Central Bank to identify key interest rate depends on the needs of the local economy and it does Officials in meetings either raise interest rates or slashing. The raise key interest rate leads to raise interest rates on loans and thus reduces the loan requested by the investors of the banks leading to reduce the pace of production and investment in the state, also cut key interest rates to help reduce the benefits received by banks when lending money to the producers, which helps to increase demand for loans and thus increase the pace of production and investment in the state. In fact, the effect of the interest rate on the currency rate decision varies between long-term and short-term impact of the effect, for the average stores, we can say that the high interest rates often lead to high exchange rate and a decrease leads to currency devaluation. Direct intervention Intervention The high price of the currency of a country he has pros cons on the economy of this state, and disadvantages that the rise in the nations currency rate affects exports where they become produced in this country that the highest price for the other countries, which reduces the import of other countries, including. For example, rising Japanese yen leads to higher Japanese prices for the countries of the world price and this leads as reduce other countries of imported Japanese goods and replace them with goods from other countries and this is no doubt would negatively affect the Japanese economy. So it is not always going to be the high price of the currency hello him. Once you find that the price of its currency, the state has become too high, which would affect the exports seriously deliberately direct intervention in the currency market, where they sell huge amounts of its currency to reduce their price. For example: When I arrived in the Japanese yen for the price of USD JPY 118.00 at one times price resulted because the Japanese central bank to sell billions of yen in global markets, which increased the supply of and led to lower its price to fetch up USD JPY 120.00, was the Central Bank so because it found that the yens rise will lead to lower exports of goods from Japan. So the decision to the central bank to intervene in the currency market is an important decision affecting the price of the currency of the country which intervenes. For example, if I learned through reading the news and economic analyzes that the central bank of the state will intervene in the case of the high price of its currency for a certain extent Fissehmk can not offer to buy the currency when the price becomes close to this limit because then the central bank may intervene and cause a sharp and fast in the price of the currency to decline. The major stock exchanges indicators Stock Exchange is the place to be bought and sold its shares of state companies, for example, in New York Stock Exchange is the main place that bought and sold its shares of American companies and the London Stock Exchange is the place to be bought and sold as British stock. Trading activity was measured in the stock exchanges of certain indicators called stock indexes and each has its own stock exchange index. For example: The Dow Jones DJI index is the index which measures the trading activity in the most important 30 US companies, high this indicator is evidence that the buyers of the shares of these companies percent more than the number of sellers, a sign of investor confidence in the US economy and the decline is evidence that the number of sellers of these shares greater than the number of buyers companies a sign of low investor confidence in the US economy. Thus, the rise in the Dow Jones index will lead to a strong dollar because it means that buyers of US stocks more, which means increased demand for the dollar and vice versa. As we all exchange traded index measures the activity: Index is called the London Stock Exchange, the Financial Times, which tracks the FTSE trading for the top 100 British company activity. The index of the Tokyo Stock Exchanges Nikkei-called NIKKEI which measures the trading of the most important 250 Japanese company activity. And Nasdaq NASDAQ is an indicator measures the trading activity in the top 100 US companies in the Nasdaq, which tend to affiliated companies as the mechanism of the technology sector companies. Thus, whenever the index has increased what led to the high price of the currency of the country followed by this indicator. In fact, the most important index ordinary matter shops is DJI Dow Jones index since the rise of this indicator is accompanied by mostly high for the price of the dollar against other currencies. Followed in importance NASDAQ NASDAQ. The rest of the stock indexes are rarely of interest to ordinary shops have to talk to make a difference on the currency rates. What we have said previously it is for important economic data and news that have an impact on exchange rates. As for the political news concentrated in political crises and periods of tension and wars between nations, in mostly the political tension of the state leads to lower its currency rate against the currencies of other countries where keen investors to dispose of their investments in the country that suffers from political crises and wars. It is often said that the capital coward. For example: the Gulf War between the United States and Iraq have led to a sharp decline in the US dollar against other currencies. Technical analysis is the basis of the analysis for the average stores Of the things that you care to learn is that ordinary shops dealing in buying and selling currencies on the basis of quick transactions begin and end on the same day probably more interested in the news analysis, technical analysis, follows the news and economic data on the currency rate misleading may be some thing. Has good US economic data issued without the dollar rises if the general situation leaning against the dollar. In fact, the direct impact that notices ordinary shops economic data on exchange rates is the psychological impact of the data more than the substantive effect, which may require a long period of time until it starts to take shape and appearance. Some say: It does not matter. important news is a reflection of the news on market sentiment. And often difficult to estimate this effect, but sometimes hard to understand. Does that mean it is the neglect of economic data and news completely Of course not. You can not be neglected but must be on prior knowledge of the most important economic data to be released each day and through practice and experience will be able to estimate the news that interests you from the news that the accused you know, and will help you a lot to read condensed economic analyzes issued by a lot of sites, many of sites will issue a brief economic analysis on a daily basis and sometimes more than once per day such analyzes and written by economists will draw your attention to the most important economic data and news to be released in this day and expected impact of her. You can read these analyzes through direct access to these sites - some of which we mentioned in the page source - or that share Subscribe at these sites to send these analyzes as a message to your email daily news Newsletter In most cases, have to participate in this free sites. Do not be afraid something. These analyzes concise and written for the average person to understand and train for some of you will be able to read and understand and will not take you to issue only a few minutes a day. How can if combining technical analysis and analysis of the news This is an important issue Sttalmha through practice and experience, and to give you an example of this: Lets say you and through technical your analysis of the graph for the movement of the euro against the dollar reached that the euro will rise after reaching a certain price, but you know that it will be issuing an important economic data after half an hour, for example, is better for you to wait for the release of this data before that you are buying the euro to see the impact of this data the price of the euro first. As a result of this data may decide the direct purchase of the euro with greater confidence may find that it is better to wait more or even cancel the purchase decision entirely. This is an issue as we mentioned is difficult to give fixed by the rules, but it is a question based on experience and practice. US economic data is the most important As mentioned, all major economies will issue economic data for each of them, but youll notice immediately that the most important economic data and the most influence on exchange rates is the US economic data, because the US economy is the largest economy in the world, as the US currency is a common currency between All the currencies in which it handles stores. Vsdor good US economic data may lead to higher dollar against all other currencies, and vice versa in the case of bad data, while economic data from France and Germany, they do not affect the mostly only on the price of the euro against the dollar. Often issued economic data for European countries without a clear impact on exchange rates occur unlike US data. It is important to pay US data - which are issued mostly in 8:00 pm EST (EST) - is particularly important, without neglecting other data. A final word in this part Your reading and understanding the third part of this book have become able to read graphs for exchange rates of the three kinds of major and able to understand these fees and get the information that interests you as soon as look at the graph. As has become so well acquainted with the concepts of chart analysis and the foundations of this analysis in terms of knowing the general direction of the price movement - mi price trend - and determine support and resistance points on the graph. It also became a learning something about the patterns and indicators and their importance in the analysis of price movement. This is in addition to your knowledge of the most important economic data, which clearly affect the movement of the currency and the impact of this data positively and negatively on the price of the currency. We have stated from the outset that the information in this book on the analysis of price movement artistic quality and news you can not out-sufficiency, the primary purpose of this book is to pave the way for you to go into this exciting field road. The information found here will help you get an idea of what price analysis and pave the way for you and help you to delve more theoretical knowledge from books and websites that well guide you to it. But you have to learn to master the basis of an analysis of price and therefore expect the issue of price movement based on the practice mainly accuracy and this is what comes from the expertise and experience which should not hesitate to do it whenever you get the chance. Do not wait to read everything about technical analysis even begin to exercise analysis. if you do that you will not finish reading. There are lots and lots of books, articles, magazines and websites specialized in the explanation and interpretation and promotion of new and old theories and principles of technical analysis. But Start Once you read this chapter to open graphs program and try to apply what you have learned in this chapter. Read the graph for each currency and in what time frame. see how they move candles and bars when it approached the support and resistance points. Try to put expectation for the price of the currency and see the result of this expectation. feedback record. anzer how exchange rates are affected after the issuance of various economic data. Repeat this work on an ongoing basis and make him the challenge is not without pleasure. Do not be afraid of the practice and experience. do everything and do not hesitate to apply all what you learn and read about the subject. The important thing is to practice because it is that gives you the experience that no one can give you them. During all that you do more to check the depth of your knowledge gradually. Let it simple Keep it simple It is famous for advice related to technical analysis. Yes, things do not hold. It is not a condition to rely on dozens of indicators and all the concepts of technical analysis in order to be successful, but the opposite is true. There are a lot of experienced traders with higher success does not depend only on the index or two points of resistance and support in their expectations of price movements and their expectations are often successful. It is not what is important is the large number of indicators and principles that are taken in the analysis, but the important thing is to engage in a timely manner and get out in time. Sometimes, when much of the concepts and indicators take it gives you mixed signals. may indicate that some of you sell while the other indicates that you buy. This will cause you a lot of confusion and bewilderment. We wanted it to say that you do not rush to understand all the theories and principles used in the analysis of price movement, but what we should do first is concerned with the process and applied practice what you learn. The experience and then the theoretical knowledge is the key to mastering the technical analysis of price movement. And remember Bank and the amount of time and effort that gives him in practice and learn technical analysis as much as accuracy, which will need to anticipate the direction of the movement of exchange rates And what this means of successful transactions may be translated in the form of financial profit is enormous. It was Traffickers Japanese rice markets in the seventeenth century were first invented and used method of candles in the expression of the price movement, and I have this method has proved a great effectiveness in the flour and clear expression at the same time for price movement, making it superior to Western-style in the expression of movement based on the rails bars Price is not in the rice market, but has also started in all financial markets, whether stocks or commodities or currencies. The benefit of Japanese candles were not limited to accuracy and clarity, but also that he has long been discovered that the forms of Japanese candles are better able to express the psychological state of the market and the nature of the conflict between the sellers who pay the price to drop and buyers who pay the price to rise any nature of the conflict between the Bears Bears and bulls Bulls or supply between the forces of supply and demand forces demand. It has been shown that the forms of candles give signals about what happens to the price in the market and thus can predict the direction of the price later hence the technical analysis using candlestick analysis method is similar shapes patterns that we talked about, but it depends on the forms of Japanese candles. It is a technique credibility appear in the relatively long time frame, such as the framework of the day, week, or at least the time in the time frame of at least so it loses a lot of credibility and accuracy. When the shops analyzed currency and candles to show the Japanese currency this certain ways, shops can be expected that the price of the currency will rise or fall later. The analysts gave each a form of Japanese candles its own names and their respective specifications and characteristics defined by There are two types of Japanese candles: 8226 Type indicates his appearance on that price will continue to rise. 8226 The type shows his appearance on the possibility of a reversal in price movement. Let us take an example: Called candle that do not have the body star Doji star. The candle that have no body means that the opening price equal to the closing price. The emergence of this candle may mean the possibility of a reflection of the price as you can see in the following manner As you can see, there was a three candles followed by a rising star Vmpmama explain that It was the price in the previous three days, close to the high On the fourth day become the opening and closing price equal, which means that the market may become reluctant to raise the price more than that and the display has become the equivalent of demand and this may indicate the possibility of a lower price in the next day. So-called star that comes after several candles rising star bearish bearish any points for a low price. See the following form: As you can see there are three plugs falling followed by star means that the price had closed down for three consecutive days, then the star appeared which refers to equal supply with demand, which may indicate that the market is reluctant to lower the price even more, and therefore it follows all of this decline rise in price in the next day. So-called star that comes after several candles bearish rising star bullish indicate any of the high price. Thus formed his star alone does not mean that the price will rise or Atkhvd even after the emergence of a rising star candles or a bear that is what gives meaning to the form. Valndjemh itself mean that there is a tie between the demand and raise prices by the forces of supply that lower prices forces and this refers to the frequency of the market to continue in the former direction. There are many forms is the star has a meaning varies by placing candles that preceded Among the most important of these forms to: Hanging Man Hanging man Morning Star Morning star Evening Star Evening star Three soldiers Three soldiers And a lot of other forms that are not without their names from the novelty. It is worth mentioning that the Japanese candlestick analysis, like other methods of analysis should be used for other types of Bladhafah and not independently. It is not enough to see his star rising after three plugs to control that the price will fall. Has incredible analysis this time But if the former star appeared and the price was close to the support of a strong resistance line as well as the RSI indicator, for example, he gives that the price is too high over bought Here you have three methods of analysis methods indicate the proximity of the low price and thus the probability of this happening becomes much larger than rely on one method. Japanese candlestick analysis has proved a real effectiveness in many financial markets, prompting a lot of professional analysts relied upon, although there was also a lot of analysts who do not turn a lot of this type of analysis. Analysis of Japanese candles subject of broad and needs you to look at and practice what we have mentioned here is nothing more than the definition and pave this innovative type of analysis, which reminds me of a personal horoscope reading by analyzing the symbols in the remnants of coffee cups However, the latter is nothing more than a fairy tale The analysis candlestick is a combination of science and art proved effective and only missed analysts to financial markets and their time in the study and use. How to Become a Forex Broker If you have decided to invest time and money to become a Forex broker, the following information will help you get started. Seu novo plano de implantação da empresa de corretagem incluirá: 1. Registro de sua empresa em uma jurisdição local ou offshore. 2. Solicitação de uma licença de corretor de Forex na Comissão de Segurança e Câmbio dos EUA (SEC) se você planeja fazer negócios nos EUA. (Se desejar abrir e operar fora dos EUA, solicite um kit de informações à autoridade financeira local). 3. Abrir uma conta bancária dentro da jurisdição para coletar fundos de clientes. 4. Um pedido para receber pagamentos on-line, se você estará aceitando financiamento on-line. 5. Preparação de documentos legais, incluindo contratos de amostragem de manuais de negociação, políticas de combate ao branqueamento de capitais, políticas de conflito de interesses, etc. 6. Pagar taxas de registro e atender a requisitos mínimos de capital para abrir uma corretora. E manter o capital líquido mínimo exigido pela Regra 15c3-1 da Securities and Exchange Commission e cumprir com a Regra SEC 15c3-3 que regula a proteção do cliente, reservas e custódia de valores mobiliários). 8. Encontre parceiros de liquidez, empresas de compensação que limparão seus negócios. (Uma empresa de compensação procurará que você forneça um determinado volume de negociação por mês: por exemplo, um montante total de lotes que seus clientes poderão negociar a cada mês). Cada etapa incluirá um conjunto de documentos a serem preparados, bem como as qualificações a serem aprovadas. O pacote de requisitos dependerá de uma jurisdição onde você optar por registrar uma empresa. Os registrantes devem estar preparados para passar por uma investigação aprofundada, passar exames sobre os princípios gerais de valores mobiliários e as leis de títulos do estado (NASD série 7, NASD série 63, 66). Entre outros, os seguintes critérios são considerados durante o pedido de registo: - solvência financeira - convicção de um crime - evidência de práticas comerciais desiguais ou fraudulentas passadas na venda de valores mobiliários. 2. A abertura de uma conta bancária corporativa - 500 - 3000 (Para ser notado que os grandes bancos podem exigir um saldo mínimo da conta (depósito) a ser feita e mantida Durante toda a operação. O valor pode variar de 50.000 a 500.000 USD). 3. A abertura de um escritório físico (se planejado) - 10.000 - 30.000 4. Desenvolvimento de um site - 1000 - 25.000 5. Escolhendo uma plataforma de negociação - 5000 - 150.000 (licença MT4 plataforma viria cerca de 100.000 - 150.000 anos. Resultar em 0 taxas). 6. Contratação de pessoal (apoio, TI, jurídico, outro) - com base nas suas taxas de salário local White Labels e IBs Se você arent pronto para comprar sua própria licença de plataforma de negociação, você pode começar com um IB ou uma solução White Label de um Prime Corretor (sua empresa Clearing). Como um White Label você estará oferecendo serviços comerciais sob o nome da sua empresa. Um corretor principal personalizará a relação e as plataformas para você, de modo que você esteja funcionando sob seu próprio logotipo. Seu Prime quebrou também irá organizar um servidor de negociação para a plataforma e liberação de todos os negócios de clientes para você. Você também pode deixar o tratamento de depósitos e retiradas para seu corretor Prime, de modo que tudo que você precisa fazer será: marketing (para trazer novos clientes) e suporte ao cliente (para manter esses clientes). Como um White Label você será capaz de personalizar sua própria estrutura de taxas e lidar spreads para ganhar maior renda. Como um IB (Introduzindo corretor) youll ser sendingreferring todos os clientes para o seu corretor Prime, onde eles acabarão por abrir uma conta comercial. Como um IB o seu objetivo será referir tantos clientes para o seu corretor Prime possível, porque itll afetam diretamente o fluxo de renda (comissões) youll ganhar para cada cliente referido. Para este tipo de negócio youll não precisa de licenciamento ou registro. Tudo o que você precisa fazer é encontrar e referir clientes, o que pode ser feito através de qualquer site (forma mais comum), de boca em boca, incluindo conferências e seminários, utilizando própria base de clientes existentes etc Sim, é diferente. Um afiliado não precisa ser um corretor. Uma filial doesnt mesmo tem que ter próprio site. Um afiliado pode postar links de referência em fóruns, outros sites etc e ganhar comissão de inscrição de referência. Enquanto Introdução Broker é uma parceria mais séria. Um IB é essencialmente outro Broker - você precisa de um site no mínimo. Então você vai criar um plano com o seu corretor principal sobre referências de clientes, manipulação de inscrições, suporte ao cliente e até mesmo manipulação de depósitos de saque (embora o último é geralmente feito por corretores prime). 14 de janeiro de 2017 Como faço para me tornar um corretor de introdução, é diferente de ser um afiliado BrokerGuru 10 de janeiro de 2017 corretores suíços são todos os bancos. Bancofx - não é um banco, embora seu nome soa como um. Este corretor não é regulamentado, embora lá no Reino Unido e deve ser cadastrado FCA Reino Unido, mas eles não são, o que torna difícil para impor qualquer coisa sobre eles. 10 de janeiro de 2017 Hi broker guru. Onde posso descobrir em que banco um corretor forex banco. Quero saber onde é banco bancofx. Eles se recusam a me pagar de volta o meu dinheiro e lucros. Eu tenho pedido e tentando por 4 meses. Se eu puder obter a informação meu departamento de polícia pode obter a informação se eles estão tendo dinheiro. Francamente eu acho que eles apenas scamsters. Eu preciso de ajuda por favor 8 de dezembro de 2016 Definitivamente antes de se tornar um corretor de introdução, é melhor descobrir todos os detalhes sobre o Prime Broker. Como simplesmente pedindo-lhes para fornecer essa informação. A única outra informação prontamente disponível seria revisões do corretor - uma indicação boa como o corretor trata seus clientes, se honra retiradas e se houver quaisquer outros problemas. September 15, 2016 Eu sou um corretor introdutório de um corretor do forex. Mas eu ainda não tenho certeza esta confiança corretor forex em termos de capacidade financeira e transparência. Como posso obter mais informações sobre o corretor forex, como a propriedade e desempenho financeiro anual. Respondendo suas perguntas diretamente, sim, qualquer corretor pode enganar. Agentes de Forex não vão diretamente supervisionar sua negociação. O objetivo de um agente Forex é trazer um cliente (você) para o corretor principal. Se bem sucedido, o agente de Forex ganhará a comissão. Depois que você está negociando e lidando com o corretor principal, eo agente está longe de empurrar pries para alcançar sua perda de parada ou mudar a tendência. É tudo até o corretor principal como lidar com seus negócios, e sim, fazer batota como você nomeado pode acontecer. Eu queria saber sobre o agente forex. É eles podem enganar as pessoas 1. Se vai colocar stop loss, eles podem empurrar para chegar lá. 2. Fio para ir em uma direção, enquanto você vai começar a enfiar de repente eles podem se mover para a direção oposta Deixe-me saber alguém ajuda para esta pergunta. BrokerGuru promover o seu negócio connosco pode ser feito através de banners. Obrigado eu trabalho para a empresa que fazem solução forex. Qualquer um precisa de informações sobre ele, por favor entre no site eu trabalho para um corretor FX baseado em Londres e à procura de pessoas para fazer IB, WhiteLabel ou apenas querem comerciante forex. Podemos trabalhar em qualquer país. 28 de janeiro de 2016 Oi Guru Pode me ajudar u plz com a intenção de trocar como um forexib ou rótulo branco na África do Sul, pela primeira vez pode u conselho mim onde n como iniciar o meu e-mail é molefeneo71gmail 08 de dezembro de 2015 Oi eu quero Comércio forex, mas eu não posso encontrar um corretor aqui na África do Sul. Pode sugerir st someI querer alguém que vai quebrá-lo para rands. Oi eu quero me tornar corretor de forex na Índia e qual é o procedimento passo a passo eu quero ib programm broker. Eu tenho cliente de nível internacional está disponível. Vallalarfinancialservicegmail 22 de setembro de 2014 como posso encontrar qualquer bom escritório de advocacia que pode me ajudar a registrar-se como um corretor em Seychelles ou qualquer país barato 4 de setembro de 2014 eu posso fornecer-lhe solução forex completa com o site da conta licensebank e tudo. Contacte-me por favor se você quiser ver a demonstração dos outros corretores que eu estou ajustando atualmente acima de meu email. Pankaj. singh (at) swissmail Olá senhor, eu quero me tornar um White Label Broker. Mas eu não sei o processo de White Label Broker. Por favor me forneça o conhecimento completo sobre isso. Eu também quero saber que é legalizado na Índia ou não. Obrigado agradecimentos Cumprimentos por favor me diga com detalhes que como eu posso abrir uma conta de corretor, por favor me diga com detalhe com o procedimento. eu sou do Paquistão. BrokerGuru Gostaria de saber essas etapas para todos os países, mas eu não, Im realmente sinto muito. Hello borex guru plz me diga em detalhes (passo a passo) como se tornar um broker borex em hong kong 2 de fevereiro de 2014 Olá a todos, estou trabalhando com a empresa FOREX no Sudeste Asiático Sinto que eles estão cobrando clientes demais . Eu gostaria de lidar com a empresa que tem sólido histórico com preços muito competitivos. BrokerGuru 26 de dezembro de 2013 Sim, Pankaj é legal para o comércio Forex em Hong Kong, tanto para residentes e não residentes. Além disso, Hong Kong está entre os maiores mercados de câmbio do mundo. 13 de dezembro de 2013 oi guru forex quero saber que é forex trading em hong kong é legal. Pode não residente pode negociar em hong kong considera pankaj BrokerGuru 5 de dezembro de 2013 Para se tornar um White Label você precisa registrar uma empresa, sim. Você pode registrar uma empresa em qualquer país, incluindo seu próprio país. Não precisa ser registrado no mesmo país que seu corretor de Forex. 4 de dezembro de 2013 im uma pessoa individual não tendo qualquer empresa, se eu quiser me tornar um White Label eu preciso registrar qualquer empresa ou funciona apenas um IB. Se sim, então, no meu país, devo registrar uma empresa ou no país onde o corretor principal está registrado. Plz guia-me. BrokerGuru ambos são corretores. Um rótulo branco é um corretor parceiro (pense em uma empresa de franquia), mas em vez de ser um ramo sob o nome de alguém, um corretor de rótulo branco opera sob seu próprio nome. Depois que você pode ser uma grande franquia com excepcional serviço ao cliente etc, ou um não tão grande, tudo depende de seus objetivos de negócios. Qual é o principal diferente entre enquanto rótulo e corretor Mr. Por favor me diga. O passo para a empresa de corretagem de instalação agradecer BrokerGuru Definir uma corretora de Forex - significa abrir e executar um negócio, obviamente. O que significa que você estará ganhando lucros atraindo clientes que pagarão spreads para negociar com sua companhia. Oi Sr. BrokerGuru Você gostaria de me dizer que tipo de benefícios que eu recebo se eu configurar a empresa corretor 20 de fevereiro de 2013 Se você precisa se tornar um corretor. Você pode comprar toda a plataforma MT4MT5 ou apenas uma etiqueta branca. No entanto, em um rótulo branco você compartilhar os lucros com seu corretor. Contacte-me para a plataforma licenciada Skype - metaquotesancilla ou 919619824272 BrokerGuru 25 de setembro de 2012 nós não temos tais dados neste momento. (Índia), quer saber sobre quanto fundo é necessário para se tornar uma empresa de corretor fx sob autoridade de serviço financeiro (UK) BrokerGuru Investimento em Forex trading é um negócio arriscado. Seus clientes devem ser muito bem familiarizados com negociação Forex, e. Ser os próprios comerciantes, antes de considerar quaisquer investimentos. Se eles nunca negociados Forex si, é absolutamente não aconselhados a investir em Forex trading. Uma vez decidido, você deve olhar para Forex gerenciado contas opções amp foco em encontrar um gerente de conta bom. BrokerGuru Offshore requisitos de capital tendem a mudar. Assim, é sempre melhor entrar em contato com órgãos reguladores locais - o seu trabalho para fornecer informações abrangentes sobre isso. Lista de reguladores: regulação de Forex Olá senhor eu tenho muitos clientes que podem investir dinheiro, mas o que é bom para eles e como posso fazer isso não sou um corretor Você poderia fornecer as opções offshore para obter várias licenças em diferentes jurisdições, com adequação de capital Requisitos para essas licenças. BrokerGuru Infelizmente, não temos essa informação, desculpe. Eu procuro informações sobre como é difícil abrir uma empresa de corretores de forex na Coréia do Sul se alguém souber. Eu encontrei leis relacionadas e sites sobre o procedimento, mas além disso eu poderia usar uma dica de vista geral no mercado coreano. Veja aqui: IB vs White Label forex brokers comentário formulário 08 de setembro de 2011 e próximo quero saber as taxas de novo corretor no forex quanto dinheiro mínimo para a nova pessoa que quer ser o corretor no forex eu preciso contratar um AP ( Associated Person) para aplicar o corretor de introdução (IB) na NFA. Se algum de vocês ou conhecer alguém gostaria de participar como AP para nós, por favor entre em contato comigo messaca20gmail muito appriciate BrokerGuru A resposta curta: Sim, você pode. A resposta longa: Depende se você será capaz de encontrar provedores de liquidez. Eles vão querer ver alto volume. Se você só não será capaz de gerar este volume de negociação, então também é uma opção para criar um grupo de tradersinvestors para cumprir esses objetivos. Eu sou comerciante que pode fazer volumes e fazer um grande investimento, mas Posso criar uma empresa separada (corretora) em particular e ter um empate com os fornecedores de liquidez. BrokerGuru A - você precisa estudar negociação. Isso pode ser feito facilmente on-line com o grande número de recursos on-line ensinando o básico. Se você é totalmente novo para Forex, você pode até começar com esta escola básica: babypipsschool B - começar a negociação em uma conta demo. Demo accounts dont require any deposits. Nesta conta youll testar suas habilidades e conhecimentos recebidos durante o estudo. C - a fim começar negociar com dinheiro real você não precisa lotes do capital. Hoje em dia, você pode encontrar corretores que oferecem mesmo chamadas centenas de contas, onde você pode negociar com centavos (100forexbrokersmini-micro-contas-comparação Scroll down tot ele fundo do artigo para encontrar uma lista de corretores que oferecem contas Cents). Você pode investir em qualquer lugar de 10 a 1000 ou 10.000, dependendo de suas habilidades e os riscos que você está disposto a tomar. D. Z - isso é todos os custos. Se você tem o que é preciso para se tornar um comerciante de sucesso, você vai ganhar dinheiro, mas se suas habilidades arent forte o suficiente, você vai perder alguns primeiros depósitos antes de fazer qualquer lucro. Esse será o único custo de sua negociação. Boa sorte Por favor, forneça detalhes completos sobre como se tornar um comerciante forex de a z. Com seu custo. Graças BrokerGuru não há diferença. Caro BrokerGuru, Você pode me dizer a diferença entre Clearing House e Broker House. Por favor, me diga Obrigado BrokerGuru Obrigado pelo feedback Nós não seremos capazes de recomendar os nomes de corretores específicos, como nossa política nos obriga a permanecer totalmente imparcial. No entanto, para seus objetivos você precisa procurar corretores que são pelo menos 7-10 anos no negócio. Eles vão fornecer garantias estáveis e garantidos com muitas opções flexíveis para escolher. Eles também têm a maior base de IBs e um grande número de escritórios em todo o mundo, que é um fator importante também. Write your comment or a review BROKERS BY COUNTRY Whos online There are currently 15 guests online. copy 2008 mdash 2017 100FOREXBROKERS ALL RIGHTS RESERVEDAfter entering into the field of actual trading. Now that practiced trading on the nature of using an account by default, for example, for several months and has become a have a minimum of experience and having developed a method in trading depends on the specific way in the price movement analysis and proved to you this way efficacy results of a good process in the default account and for a relatively long period. It has now become ready, in principle, the actual trading. Applying the previous rules you specify the amount of money to trade him and you choose the brokerage firm and opened an account with them to begin with minimized since now the real journey in the world of speculative stock exchange of international currencies. Through practice that youve made in the previous period has become well-versed course currency movement and thus became familiar with the nature of the risks of working in this field, how you can reduce these risks to the maximum extent possible There are a lot of rules that must be followed before and during logged in the transaction, including: The first rule: Use the command to reduce the loss. Second rule: do not lose more than 2 - 2.5 of your account per transaction. The third rule: relied on the analysis of entry and exit. The fourth rule is: do not fall in a deal unlike mile price. The fifth rule: do not trade at such times and conditions are not appropriate. And we will explain in some detail the rules of extreme importance. Is used to reduce the loss One of the main rules in stores alwayes trade with stops. We talked on the page types of orders for the reduction of stop loss order and ordered Pena basic rules in dealing with him. In fact, among all kinds of commands is to reduce loss order is the most important and most necessary. Because the reduction of loss order is the main line of defense in your protection. Do not expect a true all the time. Has made the effort required in the analysis, but is what makes the price movement is happening begins in Maakcetk where you start facing the loss with each point teases the price. This thing is expected in extreme market volatility as a market currencies. Here comes the role of reducing the loss order, which will close the deal before they multiply your loss to a large extent. Put the reduction of loss order before entering into the deal is a recipes professional. After that analyzes the shops price movement of a currency and decide on the basis of this analysis is to enter into a deal selling the mother of Hraoua determine beforehand the point will be closed then the deal in case of loss prior to entering into the deal and that that, for example, says: I think that the euro will rise shortly after so Sastraeh price as well but if you did not rise as I expect I Saglq loss when the price of the deal as well. This is because the predetermination to point out Taqi shops loss from falling below the psychological effect in the hope of the return of the price later. And to do so is often the difference between successful and unsuccessful shops. Discipline Decipline and strict adherence with data analysis and ignore the psychological impact is one of the most important success factors in the speculative stock market and therefore one of the main reasons for the high financial income that comes with success. The second rule Do not lose more than 5 of your account in one transaction When you decide to enter into a deal will determine the point at which it will enter a buyer or a seller of a currency. Point that will come out then if Axk price and suffered the loss will be determined. The amount you can afford to lose in a transaction must be no more than 5 of your total. What does this mean Suppose that you have a regular account by 10,000 and decided to engage in a transaction, it means that you can calculate the price that will come out in the case of loss will not exceed the loss that occurred for 500 which is equivalent to 5 of your total. For example: if you have bought 1 lot at a price of GBP GBP USD 1.4500 on the basis that the price will rise shortly after the Vine will put the reduction of loss order Put him at the price of GBP USD 1.4450. Thus, you determine your loss of 500 USD which is equivalent to 5 of your account. What if you bought 2 Lott If the price reached GBP USD 1.4450 be your loss is 100 because you have 2 Lott and not 1 lot, and this amount is equivalent to 10 of your account so you have two options: either to be closer to exit in case of loss of the price: GBP USD 1.4475 point or not Lott originally buy only one. I have mentioned when talking about the reduction of the loss is that you can not put it very close to the logged in price and 25 points are very close to the logged in point may not be whether to put the reduction of loss order at a price of 1.4475 is not left in front of you, however, do not buy more than one lot one. If you find it difficult to understand the former ideals remember the following: You know that the size of the loss depends on the number of points you lose and on the size of contracts (croaker), who enter it. The more points you lose more than the amount that you lose 0.10 for every point in the normal account and 1 for each point in the mini account. The greater the number of contracts purchased in the deal, the more profit in the event of increased profit and loss in the case of loss. When you enter a deal to put the loss point so you will not lose in this deal more than 5 of your account. On this basis, choose the number of contracts and the price that would put the reduction of loss is with him. If your purchase for 2 Lott will make you lose more than 5 of your account does not even buy 2 Lott Lott Buy one. Though the price that would put him reduce the loss order will make you lose more than 5 of your account - that happened - you bring the price of the entry point for more. That not less than the difference between the entry price and the price reduction of loss for 30 points as mentioned. Why should I do that If you comply with this rule, force you not to rush to buy large amounts of contracts in anticipation large profit. Yes, the purchase of 10 will give you a lot of enormous profits that have ratified expectations, but in return will cause heavy losses if you believe your expectations. If the size of large contracts entered did not believe expectations have to lose everything you have money and you can not then even get a chance to make up for what I lost. But if that is not committed to lose more than 5 of your account, it means that he will remain in front of you the opportunity for a wide compensation of the lost money and protect your account if exposed to several successive losses. Not included in the deal, unlike mile Price Price mile friend shops Trend is your friend I mentioned in a page-mile price that this one of the main rules that Stsamaha much in the analysis of all the financial markets. It is often adhered to a significant cause of success. How restrictive upon this rule That are not included in the deal as opposed to the general trend of price mile. When you analyze the chart for one currency will be one of the most important goals is to identify the tendency for the price of this currency any general direction of movement of the currency rate. Is the exchange rate goes up up trend Or downward down trend Or that the price is almost unchanged side away When reached to answer this question, an analysis chart in multiple time frames must be put to enter As a deal in the direction of the price and interfere reversed. For example: if we assume that you have reached the mile pound tends to rise. Is supposed to be all your transactions on the pound is buying the pound and not sell it. This is because the general trend is the rise of the pound even if the price of the pound is currently declining at any moment return to rise. So always make sure to enter a buyer for the fairy and not him as a salesman. You if you sell the pound would be in your best interest to price decreases more and this tendency opposite to the price, which is in high probability of occurrence is less than the possibility of ascension. When a mile currency rising tendency Uptrend sure to be a buyer for this currency. When mi currency downward tendency Down trend sure to be a salesman for this currency. Because the likelihood of continued price movement with the general trend is greater than the probability Maacksth the general trend. The obligation to enter into the direction of tilt trend is liable to make your transactions more successful than your transactions losers, but it is said that this tendency is the friend of shops. And what if the price mile either side of side away is not any upward or downward Do not trade the currency that you can not know whether upward or downward tendency. If the currency in which the sequencing of a mile either side, wait until it starts to determine the direction of the price movement up or down because the tendency lateral means that the market is reluctant to raise or lower the value of the currency and that demand is equivalent to the show, and usually it is because Aistmr too quickly will determine the market trend is the movement currency. Even the market sets the trend, do not wait to trade in the lateral inclination. The fourth rule Relied on the analysis of entry and exit As we said, it is necessary to have reached a method of analysis has proven successful in the trading account by default and actual trading. It relies on intuition in your decisions when buying and selling will only lead to loss after loss, even though this intuition truth sometimes. Human nature imposed on shops falling prey to the psychological effects before and during the entering into a deal. He highlighted the psychological feelings facing shops are: Fear Fear and Greed Greed. And are far more enemies shops agreement everyone. Greed has paid shops to enter into a deal before they have studied the market rationally and before that analysis proves the safety of the decision. The dealer may be in a successful deal, but does not close the deal and get more profit in anticipation of profit despite the fact that the analysis on the need to alert you close the deal immediately, what is the result The result is to become a loser after you a winner. So simply Fear has paid shops from entering into a deal despite the fact that all the evidence indicates that her chart analysis confirms the safety of the decision to enter. The stores included in the deal after a long analysis, but what to enter until the price starts at Maacksth Vidfh fear of increasing the loss to close the deal early on the loss despite the fact that the analysis does not indicate the need to get out, what is the result The result is that the price in the direction of the profit back even a little bit of patience shops to become a winner rather than a loser out without unnecessary. This is what we mean when we say that the need to rely on the analysis of entry and exit. This is because the psychological effects are the greatest enemies of shops at all and that makes these feelings for buying and selling decisions for you is the basis of suicides in the area of speculation in the financial markets in general and in the currency market in particular. What should I do Commit analysis When assure you technical analysis chart by knowing mile price and points of support and resistance and through you continue to data indicators and you compare all of this on more than one time frame, if concluded that the currency will rise do purchase it and if found it will drop Sell yours apart from the feelings about it. Do not run behind the hope of profit opportunities, but Mark opportunity come to you and let the analysis is to confirm that you do so. When you are logged in a deal indicators and began to suggest to you that the price movement began to walk the opposite direction you get out immediately so If I were a feel that the price will return and go in a profitable direction for you, as this feeling often is the result of conflicting feelings of fear and greed, not a form of Cruel grasp the future. In fact, the strict adherence to the former al-Qaeda is not easy at all, we are human beings and we have difficulty separating the feelings of fear and greed during the course of the deal, so they say need to practice for the maximum amount of time because the practice is only able to train shops that focuses reputation on what he says analysis and not what you say own feelings. Do not trade in the times and circumstances is appropriate Chart analysis and follow-up exchange rates require a lot of time, effort and patience intellectual. If you were not fit physically, psychologically and intellectually for trading is better that do not trade on that day. There is no trade and you sick or in psychological or intellectual abnormal condition, this may lead you to incorrect decisions and hasty. If a bad deal closed is better to leave the trade for a few hours so you can restore psychological and intellectual calm does not resort to the method will not leave the trading day even redeem the lost That may bring you more loss Because it may push you to enter into deals incautiously and impulsive. Loss in trading in the stock market is a reality inevitably regardless of your abilities and experience. No one can be expected to believe all the time. And when you realize that the loss in trading is normal inevitable, a price must be paid between now and then it helps you to accept this loss. Lost today You can not quite make up for this loss tomorrow or the day after tomorrow Indeed, trading in currencies, full of opportunities and all we want is to take advantage of only one chance. And do not forget that this applies to all areas of the business as it applies to the stock exchange speculation, although his appearance in the stock market and highlighted more clearly than others. Sim. You are not forced to open up a deal in every day. If you were not fit to trading is better to not offer to trade until you find the appropriate time and circumstance. Extreme volatility of currency movement makes many market opportunities and very dangerous at the same time. The higher the risk is higher than the possibility of profit. And dealing with a very sensitive market as a market currency requires a lot of stores of intellectual and psychological effort and requires patience and discipline to the fullest extent possible. And to abide by previous rules before entering into the field of actual trading and after entering it will enable you to be a winner most of the time and this is all very traffickers seeking to profit in the financial markets work. You must be concluded that you understand the basis of margin trading system that the fastest way to make large profits several times higher than the invested capital. Van able to trade with a value of 100,000 euros, for example, in exchange for paying the amount of 500 as a deposit refundable and then you hold a full profit and if you already owns this amount, is liable to bring you return which exceeds several times the amount that Ststthmrh in trading and by more than any other form of dividends forms of investment, including the Aigas. All you had to do is to buy the currency that you expect to rise and sell when they actually go up. Or to sell the currency that you expect to go down and buy when you actually go down. For every point of a high price when you purchase the currency you get 10 for each lot of currency (in the ordinary account) case. For every point a low price when you buy a currency you get 10 for each lot of currency. Currency rates in constant motion around the clock in any currency per day moving average of between 50-200 point up or down. This means that there is always an opportunity for enormous profits every day. Fired to unleash your imagination and imagine how you will be able to earn points daily. 50 points, for example, this means 500 profit on each lot traded by. E assim por diante. Valmtager currencies in particular do not fear a recession but do not fear Aehmh sales and lower prices to rise or fall. Valamkaneh always available for profit, whether the sale or purchase of currency and whether the price rose or fell. The profit content and a huge and fast. The ratified expectations, here are the crux, and here the crucial chapter between profit and loss. Yes, the forecast that the currency will rise So I bought youll get 10 for every point of a high price. But what if the price rises Will lose 10 for every point drop price. If the price went down 50 points to lose 500 and this amount will be deducted from your account. This is in fact true currency trading or trading in any commodity or service whatsoever. If the price of the commodity falls below the purchase price will suffer a loss. Any dealer withholds the purchase of a commodity for trading only after it is expected that the price will rise, but that does not mean that it ensures that the right to expect. There is nothing in the content of this world. The issue is expected to rely on the merchants health, the merchant was an experienced and knowledgeable in the market, the forecast will be correct most of the time, but not necessarily all the time. This is enough to achieve the merchant net profit every month. And so are trade and investment There is always a risk in the face of loss element. It does not want to risk that he Aitager originally. As far as the possibility of profit risk ratio. Investor who deposited money in the bank in return for annual benefits will not get more than 4 return on its investment in the year. As for who invests his money in currency speculation gets lost profit to exceed 1000 return on investment possible and so much more. What is the difference The difference is the ratio of risk In exchange for that you get a return on 100 Guaranteed you will not get more than 4 annualized return. But in order to get a payoff of up to 1000 and more you have no choice but to face the risk of loss. A fact that applies to all forms of investment and trade in any commodity anywhere in the world. As I learned the trading currencies check enormous material gains On the other hand there is a very high risk of investing in speculative currency. It is a fact that must be learned well: It is that investing in speculative currency is considered one of the most dangerous forms of investment at all. There is a possibility to win dozens of times the amount that it will work. Yes, this is possible. There is a possibility that you lose all the amount that it will work. Yes, this is also possible. What is the risk in speculating on exchange rates The answer can be summed up in one sentence. Extreme volatility High volatility Currency prices change constantly and prices fluctuate all the time, which is highly vulnerable to economic and political variables and sometimes unexpectedly. This nature in the currency makes the sign of the direction of the price is not easy at all. As mentioned, the currency movement daily rate ranges between 50-200 points up or down, if these points against which turned to physically youll find that this means huge sums day can you earn or lose. This depends on the health of your expectations. Can expect exchange rates As I learned from the previous answer. Sim. The movement of exchange rates, though very fluctuation and volatility, but it is not random but the movement founded and tendencies trends could be foretelling in advance and often believe these expectations, which means huge profits. And now you know that you can expect prices of currencies through the analysis of both types of key: Technical Analysis Technical analysis of economic news and analysis Fundamental analysis. And as you know we mean to do follow-up analysis of price movement for a period of the past even infer the possibility of future direction. You can not expect that reaction someone to Atarafh. But if dealt with him became learn previous reactions to different situations you can expect his future to do a certain position. Of course there is a difference between the behavior of humans and between the movement of the price, but the price is ultimately a reflection of the demand and supply being done by people around the world. And supply and demand is affected by certain economic and political variables are known. If, in principle, can analyze the expected price movement forecast price direction and thus can be invoked by taking the buying and selling decisions. But in spite of that Vlaci content. Variables that affect the movement of prices and many times contradictory. This makes the sign of the direction of the price of a currency - or share or commodity - a matter of probability. It was more likely that the price of the currency will rise will purchase it and vice versa. As far as your practice and you continue to exchange rates and the extent to expand your knowledge of that area as far as increase your experience and your ability to correct expectation. This is an issue that requires a lot of effort and time and follow-up and insist. An issue that is worth the effort because the material yield high. and very high. If so how can mitigate risk in speculating on exchange rates There are two main phases: 8226 Before entering into this area originally. 8226 After entering into this area. Each stage abide by the rules leads to alleviate the level of risk to a minimum, giving shops the greatest opportunity for success. These rules are called general rules of risk management Risk management rules, which we will discuss in detail because of their great importance. Before entering into the actual trading There are some basic rules that must be followed literally before the actual trading, namely: The first rule: Do not trade with real money long before the training and practice. The second rule: the investment amount that you can afford to lose entirely. The third rule: start trading mini account. And we will explain the rules of extreme importance: Non-trading real money before the actual training and practice Yes. You can not run the risk that your money in the field to understand where nothing. Must first be locked in this area by trading virtual Demo you can open a virtual account placebo and then buy and sell currency to this account, if I gained added profit to your account and if you lose deduct the loss from your account, where are all the processes in terms of procedures and how to implement the orders and exchange rates and all that respect to trade like a real account but it does not contain money lost if you will not lose anything actually. The default account is the indispensable need to learn how to trade currencies prices without suffering a real loss, where you will be able to practice and gain experience and test your expectations and learn a lot a lot about the movement Alosar and nature without losing something. And after they have practiced virtual trading for as long as possible and after becoming confident of the health of your expectations and your understanding of the movement of prices and influences that affect them and only then you can start trading with real money. How is the period in which they must exercise where a default account As long as possible. In fact, can not determine a certain period, but that depends on the issue of up to trust yourself and understanding the nature of the market and the accuracy of your expectations. Flaani to achieve a profit in a few trades that you may become fit to trading real money, these results may be the result of coincidence and no more, but can not deny that it only after the results Tc process is ongoing profits for a long time. In short. You only can decide when to move the actual trading, If you want specifically, we say you should not be the actual trading begins six months of trading before calculates Default Before prove practical results that improve your style behind a month months. In the end The decision is yours alone. Snrushdk to brokerage firms addresses that allow you to open an account for free by default, and most of these companies will allow you to do so for a period of one month, but we recommend that you renew it several times. Do not forget that even professional traders always have a virtual accounts are testing out new methods of forecasting and trading and learn a lot of them without having to suffer the loss. Default Valhassab the need for professional and inevitable for the novice. The second rule Investment amount that you can afford to lose entirely One of the basic rules to avoid the negative effects of the risks of currency speculation. When you decide to begin actual trading and determine the amount of your account open it must be able to lose that amount entirely without affecting the physical situation. What does this mean This means that you can not in any way that trade Astdntha funds for this purpose. Or be traded funds represent a large percentage of your savings. But for only Atbdo that lost entirely will not affect the physical situation dramatically. As we said, the speculation on the currency investment with a high risk, it put all your money in such an area is very crap without a doubt. Sim. Its great to fight in this lucrative field, it is necessary that Atadhaa yourself a chance of large and rapid material gains can be achieved in this market, but the mind every mind telling you that to let the lure of these profits Tamik about the fact that speculation in the currency is a risk high may cause Bouksartk for the entire amount in your account very quickly. Some have made millions from behind the speculation in the currency markets and other market. Some have gone bankrupt from behind the work itself. So it is advisable for people wishing to start trading real money to ask himself the following question: How is the amount that can be sacked by going against the experience in this area The answer varies from one person to another depending on the circumstances and objectives and the potential of each person. Start trading mini account That we mentioned in the table on page normal mini account and the account see the main difference between a mini account plain account. As you can see, the mini account represents ten ordinary account in everything. It is the main rules that you must follow to avoid the ill effects of speculation on the currency after practice on a default account that the actual start trading mini account avoids heavy losses and earn you a good profit to be able to the currency market and be able to amplify your capital so you can then go into the trading unusual account . It is very necessary for every beginner that withholds actual trading only through a mini account first, even if the results of the exercise of the default account for a long time is excellent. Because there is a difference between the virtual trading account and the actual account. Many novices are making excellent results on the default account, but when they move to an actual account suffer loss or Aahakqon the same excellent level they have achieved in the default account. The answer: the psychological factor. It is one of the most important factors that influence the success or failure of shops. Valmtager who used to trade the default account knows that he will not lose anything on the truth and this makes it a high degree of mental calm and patience and the ability to withstand the temporary price changes. For example: Suppose you bought 1 lot of currency on the basis that the price will rise 100 points. As you know from the nature of the price movement that the price will rise once more connected. It will go up a bit, then fall, then return to high and then fall over and then rise again, and so the moment behind the moment. Sim. in the end, and after a few hours you will find that the price has already risen 100 points, as expected, but this is done in most cases gradually. For stores calculates the default issue does not affect him too much, he is when he sees that the exchange rate started to decline will not be afraid to anything as long as it is confident of Health to expect and why he knows that even if the expectation did not believe he will not lose anything so it Sasber that the price rises to 100 points as expected. The shops calculates the actual story is entirely different for him. When you buy 1 lot of currency and the price starts to decline, it will be seen that he began to lose from his account for every point of 10 in normal and 1 in the mini account account, and this time will cause him a lot of tension and fear of the increased loss was rushed and sell at a loss, but if patience is a little back to the price rise as predicted. Indeed, trading in the financial markets is a war of nerves in the first place. 50 and lose a lot easier than to lose 500 in one transaction. So the beginning of the actual trading account must be minimized even calculates the test yourself and see the impact of the movement of prices on the endurance and strength of nerves and this avoids a lot of the losses that you may experience that began directly in a normal account. You also need more practice and experience, and account mini earn you less risk and at the same time the possibility of achieving a very good profit. Then beware that the actual trading begins normal calculates Standard account Whatever your results in the default account excellent. May lead to the evaporation of your account within days. Actual trading starts only calculates the mini Mini account Always remember that. In fact, there are a lot of professional traders who content themselves to work in a mini account all the time, the profits of large and flexibility to make it a mini account is very attractive, especially for beginners and owners of small accounts. Keen shops in any kind of goods on which he plans to follow up this item traded price continuously in search for a suitable opportunity. You may be interested in trading in cars, for example, it is natural to be up to date car prices continuously If you find that the car price became too low Vstmutir to buy them on the grounds that the price will go up later, but you may find that it is appropriate to wait for some time before offering to buy you expects the price drops more to come back before the rise. This requires you to continuous follow-up and found that the price of buying a suitable offer to purchase, or wait until the price drops more then offers to purchase. As well as trading in currencies. When you are watching the currency waiting for the right opportunity to buy a currency when you expect that the price will not drop much, but then pick up, it may need to wait some time until the exchange rate then decreases more progress on the purchase. If we assume that you are watching the price of the euro was at this moment EUR USD .9000 And found through your analysis of price movement that the euro will fall more than that, but it will resume rising. What do you do Exactly. seize the opportunity immediately and buy euros because you expect the price will rise. Ask to buy euros at the current price. When you do that may be used first type of commands which the market is Market order. Market Order Market Order An order to buy or sell a currency immediately and the current market price. To go back to the previous assumption that the euro as EUR USD .9000 price Suppose you and through your analysis to the price of the euro, you expect that the euro will fall more before re-rise and you expect that the euro will fall first to be up to EUR USD .9850 and then re-rise. What do you do Yes. you have to wait until the price drops and up to 0.9850 and then you buy. But that may require you to wait several hours until the euro up to the price at which you expect, does it mean that you have to remain glued to the computer several hours waiting for this moment Here comes the role of limit orders in advance Limit entry orders It predetermined Limit Entry Order An order to buy or sell a currency at a predetermined price by you, if the price of the currency actually arrived to the price set will be implemented and if it did not reach the command is executed. In our previous example will determine the price of 0.9850 to buy and so you say to the brokerage firm you are dealing with: If you arrived to the price of the euro bought 0.9850 euros lot to me - or any number of croaker want - then you can leave the computer and attention to something else. If the price of the euro to 0.9850 already reached the company will buy you a lot of euros and if the price was not up to 0.9850 will not implement it. Will do so via command by platform workstation and used to deal with the brokerage firm status and youll find complete instructions on how to pre-set orders placed an issue that require only a few clicks of a mouse. This is the interest of limit orders in advance to give you a field of interest with other things without having to wait. Types of predefined commands There are four types of limit orders in advance all possibilities of the price movement of a currency which covers two things and two things out of the entry: Exit predetermined commands: Is the reduction of the loss Stop order. Limit order take profit order. Entry Orders predetermined: Order entry for the price of an apostate Entry limit. Order entry for the price of a continuous Entry stop. I hope you do not feel overwhelmed by these species, purpose of which is to cover all the possibility of price movement so that you can at your analysis to the price of the currency to put these commands to be executed automatically without the need to remain glued to a computer for long hours, and because of these types of commands shops can be makes his work in speculating on currency rates partly pursuant part time where all you have to analyze Saralamlh If arrived conviction about the direction of price movement will develop a sales or purchase orders and determined in advance where you can then leave your computer and attention to another job and you are assured that whatever price movement currency, the orders will be implemented in the form that you specified in advance and automatically and without intervention from you. With a little practice you will find that dealing with these commands a very simple matter. And now we will explain in detail each type of limit orders in advance: Exit predetermined orders Is the reduction of the loss Stop order Something which determines the price at which it will close the deal if the result is lost. For example: Suppose you bought a lot of euros at the price of EUR USD .9000 on the basis that you expect that the euro will rise after that. You know that every point rise by the price of the euro over the previous price to win 10 in normal - 1 in miniature - all point drop from the previous price of the euro price calculation account lose 10. Suppose you bought a lot of the euro the previous price and you would like to leave the system and stop the follow-up, but you are afraid to drop the euro and continue the meaning of the decline that your loss will continue to increase if the price dropped 30 points to lose 300, and if it continues more decline and fell 60 points to lose 600 and so on. You can specify in advance the maximum you can afford to lose this deal with the reduction of the loss Stop order is so that the pre-determined price at which the deal will close by in case of loss. In the previous example, I bought a lot of euros at a price of 0.9000 on the basis that its price will rise, will determine the price of reducing the loss of 0.9850 and so you say to the brokerage firm that buys you a lot of euros at a price of 0.9000. If the price dropped and began to lose and the price reached 0.9850 to shut the deal, fearing that price will continue to decline and thus bris has identified earlier in this deal for 50 points. You can then determine the price of reducing the loss of you leave your computer and you are assured that no matter what the euro has fallen will not lose more than 50 points because when the price of the euro up to 0.9850 and the company will automatically close the deal will not lose more. On what basis is determined by the price reduction of loss Answer: The issue mainly depends on your analysis of the movement of the exchange rate has reached to the conclusion that the euro after hitting a price of 0.9000 will rise and on that basis decide to buy it, but that does not mean that the price when actually up to 0.9000 will resume the rise immediately but could fall some more thing to 0.9890 and then re-elevation may fall to 0.9875 and then comes back up, no matter how accurate your analysis was rarely able to determine the point at which the price rise comes back exactly. But you through price movement analysis up to believe that the euro if it arrives for the price of 0.9850, this means that the wrong your analysis - or is there has been political or economic circumstances - and therefore as long as the price reached to this point, it will not come back to rise and will continue to decline, at this particular point will put the price of reducing the loss at any price you lose with it the hope that the price will resume rising. Importance of reducing loss order There is a rule that says: Always trade with stops which do not trade only after it determines in advance of your loss. What does this mean Often buy some currency traders on the grounds that the price will rise or sell a currency on the basis that its price will fall, but things do not go as expected and the price starts Palmaxh starts loss: 20 points. not quite pick price improvement. but it is not getting better. 40 points. it does not matter will return for improvement. but it is not getting better. 80 points. great my loss has become perhaps Ill wait for the price improves lighter than my loss. but it is not getting better. 120 points. problem I can not accept this loss will wait Perhaps the price is improving, even a little bit. but it does not get better. 200 points. Wow Ialitny accepted the loss when she was 40 points. So as you can see to leave things without pre-determined price, which will close the deal in which in case of loss makes you vulnerable to the psychological impact on the hope that the price is getting better and returning to profit or at least mitigate the loss may result in your this hope because multiply your loss several times, which makes you have to accept a heavy defeat. So which is better to be exposed to such a critical position or that you have determined in advance the price at which you lose hope for him on the basis of analysis and not on the basis of the psychological impact. it connects you to the analysis that the price if Axk 40 meaning that point he would not return for improvement and that your analysis was wrong or may may have occurred in the circumstances of what will not be back after the price of the improvement, the losing 40 points better than to lose 200 points could mean thousands of dollars. Accept for the loss, Ltd. is a professional recipe shops. It is important that this loss be based on analysis and not on the basis of expectations based on the psychological effects which have claimed many of the traffickers accounts. Question: If I will set my loss at a point very close to the point of entry so as not to lose too much if Okhtit in the analysis, for example, if you bought the euro at 0.9000 I will set my loss at a price of 0.9895 if any mistake analysis will not lose more than 5 points and the better right Answer: No, not as well. Are you one hundred percent sure of that when the price reaches 0.9000 exactly will resume rise As mentioned, even if your analysis is correct rarely able to determine the price at which the price will come back with him to appreciate exactly. Price was up to 0.9890 and then re-height If you have identified your loss at 0.9895 meaning that you will come out a loser 5 points at a time when your analysis it is true, if you are given more room to yourself and the patient a little bit out of the winner instead of a loser out of 5 points. You can not define your loss at a very close because you do not know the exact price you pick has a price rise. You may not be your loss and determine the price is too far so as not to become a heavy loss. It is like a middle range. The adequacy of any remote area, so give yourself for profit and so close to the adequacy of your loss limit as much as possible in the event of a loss. If km point should I set the price reduction of loss The answer: You must make the analysis is the basis for determining that, but initially prefer not to at least limit the point of loss of 30 points or Andmatstrae euro on the price of 0.9000 is not preferable to determine the loss of more than 0.9870 because it is very contained the price drops up to this point and then return to high. In fact, the point is that place then the price reduction of the loss stop is one of the most important decisions that must be identified in the transaction is an issue that depends on your ability to withstand the loss on your analysis and your style of trading is generally accurate an issue vary from one person to another and improve practice and train for and training. Lets take some examples of how to limit the point of loss: Would buy a lot of euros at a price of EUR USD .9850 select the stop loss point The answer: we will put something to buy the euro on the price of 0.9850 and put the stop on the price of 0.9810 and thereby determine the loss that got 40 points. Lott will sell at a price of GBP GBP USD 1.6098 select point loss Answer: We will put selling price is 1.6098 and we put the stop on the price of 1.6143 and thereby determine the loss that got 45 points. The yen will buy on the price of USD JPY 118.50 select point loss The answer: we will put something to buy at the price of 118.50 yen important to us that the yen rises against the dollar, so we will put the stop at a price of 119.00 because if the price reached 119.00 meaning that for the yen fell. Valin currency indirectly, and thus determine losing by 50 points. Will sell the Swiss franc on the price of USD CHF 1.4560 select point loss Answer: We will put the sale price at 1.4560 and concerns us here is to drop the price of the franc, we will put the stop at 1.4500 because if it came to that price be the franc has risen Vafrenk currency indirectly, and thus define our loss with 60 points. Is the reduction of the loss Stop order When you buy. be the stop point less than the purchase price. At the point of sale. be the biggest stop of the sale price. When you buy. be the stop point is greater than the purchase price. At the point of sale. be the stop is less than the sale price. Take profit Limit order is Something which determines the price at which he has closed the deal in the case of a profit. For example: Suppose you bought a lot of GBP price and what you expect the pound to rise 80 points. In order to get the profit you should wait until the Fairy actually rises 80 points may require several hours, you can use here is take profit limit order sets the price that you want to close the deal in the case of a profit. Vlovrdhana you bought Fairy at a price of 1.6000 and you expect the pound to rise 80 points, you can then put take profit order at a price of 1.6080, ie you say to the brokerage company if the price of the pound 1.6080 closed the deal for, will execute this command automatically without the need to be present in this moment. You can set this up after you leave your computer and you are assured that if the price reaches a point at which you selected will be able to reap a profit without the fear that the price back down and you get lost and so the opportunity to get 80 points. On what basis can I put my take profit point Issue depends on the shops and on the style of trading Strategy Some specify in advance a certain number of points and some specify a fixed amount, but the best method must be determined on the basis of analysis If the analysis indicates the likelihood of the currency for a certain number of points higher before they fall back is better to be determined point take profit limit order at this point or a point close to it. Lets take some examples of how to determine the take profit points: I bought a lot of euros at a price of 0.9500 select the take profit points Answer: We will put profit-taking point limit order at a price of 0.9550 which we ask the company to close the deal when the price of the euro up to 0.9550 and thus we define a pre won by 50 points. Sold at a price of 163 1.6230 select the take profit points. The answer: the deal started to sell and profit is achieved if the pound fell, we will take profit order at a price of 1.6170. Thus, we define profit by 60 points. Yen bought at a price of 118.50 select the take profit points. Answer: I will put take profit when the price of 118.00 points, when the yen for this price have risen 50 points up, this matter may be identified Rbjee with 50 points. I sold the Swiss franc at 1.4500 select the take profit points. The answer: the profit achieved when the price is reduced because the process franc began to sell, I will put profit point at a price of 1.4620, and so I have identified a 70-point profit. Take profit Limit order is In the case of the purchase price will be reaping the profit is greater than the purchase price. In the case of the sale price will be reaping the profit is less than the purchase price. In the case of purchase reap the profit is less than the purchase price. In the case of the sale of profit-taking is to be greater than the purchase price. If you find it difficult to understand or keeping these rules would be useful and very easy for you to remember the following charts showing where will put the reduction of loss Stop order is and is reaping the profit Limit order direct and indirect currency and in the cases of buying and selling each of them as you can see in the following table : Direct currencies such as the euro and the pound When you buy direct currency A Stop command in the bottom of the purchase price chart And be ordered Limit above the purchase price in the chart Because when you be interested in buying candles rise in the graph As you can see in the chart below When selling direct currency Stop command is the highest selling price in the chart And be ordered Limit down sales in the chart price Because when you be interested in selling candles down in the chart As you can see in the diagram below The other way in which the price movement analysis, a method which is based on the study of economic and political influences and predicted impacts on the movement of the price of a currency. If the technical analysis based on the study of price movement only, the news analysis is based on an analysis of the reasons for this movement. Economic and political effects may be long term or short term. Long-term economic influences, is what he is examined by economists and by analyzing the economic situation of the country and compare the economic situation of other countries in an attempt to estimate the impact on currency rates, and such an analysis requires a broad economic background are not available to non-experts, such an analysis is beyond the functions of the normal shops who trades currencies on a daily basis and on the basis of quick transactions, but is within the interests of the large financial institutions that would be interested to exchange rates foresees a long range of up to years ago to invest huge sums in the purchase or sale of these currencies. As for the regular stores, the news analysis interested in the following form: Every day the major economies such as the United States, Japan, the European Union as a whole and Europe Home such as Germany, France, Italy and Britain separately are these countries a week to issue a lot of special economic data for each of them, this data directly affect the exchange rates for these countries. For example: the euro is high it may be against the dollar at a price of EUR USD .9850 but at eight oclock EST (EST) issued US economic data indicate the strength of the US economy in certain aspects, the emergence of such data to the rise in the US dollar could lead to become after EUR USD 0.9700 hours, for example, data such as these reinforce investor confidence in the US economy, which helps to increase the demand for the purchase of shares and American investments and thus increase demand for the dollar, leading to high price against the euro. The exact opposite happens if the bad economic data for the US economy. Such economic data that affect exchange rates for short periods, such as the impact of interest to myself shops currencies. Sometimes one of the officials in the countries in one of the major economic issue a statement which could lead to the high price of the currency or fall. For example: the Japanese Central Bank President may authorize a permit may lead to the rise or fall of the yen against the dollar, sometimes dramatically. How do I know about the emergence of this economic data and statements The most brokerage firms offer stores graphs Service currency rates paid or free service, they provide news service where can shop through the charts of the major news and read up immediately stores the program. There are plenty of sites that offer news service of interest to shops currencies is free shops can access these sites and read the news. Não se preocupe. it does not mean that you are obliged to stare all day on your computer waiting for news or economic data. Important economic data is to be known in advance the date where you can get from many sites on the agenda Calendar for the most important economic data to be released next week, in the form of a table showing the state in which the statements will be issued and the type of data, time and predicted the experts of the data that will be issued. If there are important data can know in advance of the date immediately following the result by the news service provided by your brokerage firm or by specializing in news sites like forexnews. You are also using the WAP technology you can read this news by your mobile phone or laptop by LAPTOP What is the most important economic data to be issued There is a lot of data which is published weekly, we will mention the most important of these data and their impact on exchange rates: Consumer Price Index Consumer Price Index (CPI) An indicator to measure the rise in commodity prices for the consumer. The higher this index was greater compared to the previous month, or month to month compared to the same period of the previous year, year to year, the impact will be negative for the currency as its price falls often. For example: if the consumer price index in the United States 3 for the month of December, while it was 2.5 in November, it is a bad news for the US economy because it means a rise in inflation, could lead such a story to the low dollar against the following currencies and this compared month to month Month to Month (M M). The comparison with the month of December of the previous year compared to the year called for the year Year to Year (y y). Producer Price Index Product Price Index (PPI) An indicator to measure the rise in commodity prices for producers and manufacturers in the production inputs. The higher this index increased currency goes down. Retail Sales Retail sales index An indicator measures the rate of sales in the consumer goods, the higher the rate rises because the sales price of the currency rise guide to the health of the economy. Wholesale sales index Wholesale index Index measures the producers who sell their goods wholesale sales, the higher the rate rise because the high price of the currency wholesale sales guide to the health of the economy. The budget deficit Balance deficit An indicator measures the level of the deficit in the state budget, and whenever led to currency devaluation deficit rose to this state. Trade Balance Trade balance It measures the extent of the surplus or deficit in the exports and imports of the state, the state that have a trade surplus with another country or the world with its exports of goods will be more than its imports, and vice versa for the State that the trade deficit. Whenever the trade deficit increased to state whenever led to lower the price of its currency. Unemployment rate Unemployment rate It measures the number of citizens of working age who are not finding work, the higher the unemployment rate increased led to currency devaluation because it shows the weakness of the economy in this country. Jobless claim jobless benefits It measures the number of citizens who receive unemployment compensation from their governments, which is similar to the previous index has the same effect. Consumer Confidence Index Consumer confidence index An indicator measuring consumers confidence in the state and local economy, which is an important indicator, and the greater consumer confidence in the state economy, the higher the price of the currency. Product Confidence Index Producer confidence index It is similar to previously unknown but measures the producers and manufacturers confidence in the states economy index, the greater the producers confidence in the economy was a sign of the health of the economy leads to the high price of a countrys currency. GDP Gross domestic production (GDP) An indicator measures the volume of goods and services produced in the local economy, and the greater the volume of production was a sign of the economic activity which leads to the high price of a countrys currency. Key interest rate Interest rate It is a very important indicator little impact on the local economy, as officials in the central banks of each country meet to determine the key interest rate on loans, which in turn affect the interest rates on loans granted by commercial banks for producers and consumer prices. The decision of the Central Bank to identify key interest rate depends on the needs of the local economy and it does Officials in meetings either raise interest rates or slashing. The raise key interest rate leads to raise interest rates on loans and thus reduces the loan requested by the investors of the banks leading to reduce the pace of production and investment in the state, also cut key interest rates to help reduce the benefits received by banks when lending money to the producers, which helps to increase demand for loans and thus increase the pace of production and investment in the state. In fact, the effect of the interest rate on the currency rate decision varies between long-term and short-term impact of the effect, for the average stores, we can say that the high interest rates often lead to high exchange rate and a decrease leads to currency devaluation. Direct intervention Intervention The high price of the currency of a country he has pros cons on the economy of this state, and disadvantages that the rise in the nations currency rate affects exports where they become produced in this country that the highest price for the other countries, which reduces the import of other countries, including. For example, rising Japanese yen leads to higher Japanese prices for the countries of the world price and this leads as reduce other countries of imported Japanese goods and replace them with goods from other countries and this is no doubt would negatively affect the Japanese economy. So it is not always going to be the high price of the currency hello him. Once you find that the price of its currency, the state has become too high, which would affect the exports seriously deliberately direct intervention in the currency market, where they sell huge amounts of its currency to reduce their price. For example: When I arrived in the Japanese yen for the price of USD JPY 118.00 at one times price resulted because the Japanese central bank to sell billions of yen in global markets, which increased the supply of and led to lower its price to fetch up USD JPY 120.00, was the Central Bank so because it found that the yens rise will lead to lower exports of goods from Japan. So the decision to the central bank to intervene in the currency market is an important decision affecting the price of the currency of the country which intervenes. For example, if I learned through reading the news and economic analyzes that the central bank of the state will intervene in the case of the high price of its currency for a certain extent Fissehmk can not offer to buy the currency when the price becomes close to this limit because then the central bank may intervene and cause a sharp and fast in the price of the currency to decline. The major stock exchanges indicators Stock Exchange is the place to be bought and sold its shares of state companies, for example, in New York Stock Exchange is the main place that bought and sold its shares of American companies and the London Stock Exchange is the place to be bought and sold as British stock. Trading activity was measured in the stock exchanges of certain indicators called stock indexes and each has its own stock exchange index. For example: The Dow Jones DJI index is the index which measures the trading activity in the most important 30 US companies, high this indicator is evidence that the buyers of the shares of these companies percent more than the number of sellers, a sign of investor confidence in the US economy and the decline is evidence that the number of sellers of these shares greater than the number of buyers companies a sign of low investor confidence in the US economy. Thus, the rise in the Dow Jones index will lead to a strong dollar because it means that buyers of US stocks more, which means increased demand for the dollar and vice versa. As we all exchange traded index measures the activity: Index is called the London Stock Exchange, the Financial Times, which tracks the FTSE trading for the top 100 British company activity. The index of the Tokyo Stock Exchanges Nikkei-called NIKKEI which measures the trading of the most important 250 Japanese company activity. And Nasdaq NASDAQ is an indicator measures the trading activity in the top 100 US companies in the Nasdaq, which tend to affiliated companies as the mechanism of the technology sector companies. Thus, whenever the index has increased what led to the high price of the currency of the country followed by this indicator. In fact, the most important index ordinary matter shops is DJI Dow Jones index since the rise of this indicator is accompanied by mostly high for the price of the dollar against other currencies. Followed in importance NASDAQ NASDAQ. The rest of the stock indexes are rarely of interest to ordinary shops have to talk to make a difference on the currency rates. What we have said previously it is for important economic data and news that have an impact on exchange rates. As for the political news concentrated in political crises and periods of tension and wars between nations, in mostly the political tension of the state leads to lower its currency rate against the currencies of other countries where keen investors to dispose of their investments in the country that suffers from political crises and wars. It is often said that the capital coward. For example: the Gulf War between the United States and Iraq have led to a sharp decline in the US dollar against other currencies. Technical analysis is the basis of the analysis for the average stores Of the things that you care to learn is that ordinary shops dealing in buying and selling currencies on the basis of quick transactions begin and end on the same day probably more interested in the news analysis, technical analysis, follows the news and economic data on the currency rate misleading may be some thing. Has good US economic data issued without the dollar rises if the general situation leaning against the dollar. In fact, the direct impact that notices ordinary shops economic data on exchange rates is the psychological impact of the data more than the substantive effect, which may require a long period of time until it starts to take shape and appearance. Some say: It does not matter. important news is a reflection of the news on market sentiment. And often difficult to estimate this effect, but sometimes hard to understand. Does that mean it is the neglect of economic data and news completely Of course not. You can not be neglected but must be on prior knowledge of the most important economic data to be released each day and through practice and experience will be able to estimate the news that interests you from the news that the accused you know, and will help you a lot to read condensed economic analyzes issued by a lot of sites, many of sites will issue a brief economic analysis on a daily basis and sometimes more than once per day such analyzes and written by economists will draw your attention to the most important economic data and news to be released in this day and expected impact of her. You can read these analyzes through direct access to these sites - some of which we mentioned in the page source - or that share Subscribe at these sites to send these analyzes as a message to your email daily news Newsletter In most cases, have to participate in this free sites. Do not be afraid something. These analyzes concise and written for the average person to understand and train for some of you will be able to read and understand and will not take you to issue only a few minutes a day. How can if combining technical analysis and analysis of the news This is an important issue Sttalmha through practice and experience, and to give you an example of this: Lets say you and through technical your analysis of the graph for the movement of the euro against the dollar reached that the euro will rise after reaching a certain price, but you know that it will be issuing an important economic data after half an hour, for example, is better for you to wait for the release of this data before that you are buying the euro to see the impact of this data the price of the euro first. As a result of this data may decide the direct purchase of the euro with greater confidence may find that it is better to wait more or even cancel the purchase decision entirely. This is an issue as we mentioned is difficult to give fixed by the rules, but it is a question based on experience and practice. US economic data is the most important As mentioned, all major economies will issue economic data for each of them, but youll notice immediately that the most important economic data and the most influence on exchange rates is the US economic data, because the US economy is the largest economy in the world, as the US currency is a common currency between All the currencies in which it handles stores. Vsdor good US economic data may lead to higher dollar against all other currencies, and vice versa in the case of bad data, while economic data from France and Germany, they do not affect the mostly only on the price of the euro against the dollar. Often issued economic data for European countries without a clear impact on exchange rates occur unlike US data. It is important to pay US data - which are issued mostly in 8:00 pm EST (EST) - is particularly important, without neglecting other data. A final word in this part Your reading and understanding the third part of this book have become able to read graphs for exchange rates of the three kinds of major and able to understand these fees and get the information that interests you as soon as look at the graph. As has become so well acquainted with the concepts of chart analysis and the foundations of this analysis in terms of knowing the general direction of the price movement - mi price trend - and determine support and resistance points on the graph. It also became a learning something about the patterns and indicators and their importance in the analysis of price movement. This is in addition to your knowledge of the most important economic data, which clearly affect the movement of the currency and the impact of this data positively and negatively on the price of the currency. We have stated from the outset that the information in this book on the analysis of price movement artistic quality and news you can not out-sufficiency, the primary purpose of this book is to pave the way for you to go into this exciting field road. The information found here will help you get an idea of what price analysis and pave the way for you and help you to delve more theoretical knowledge from books and websites that well guide you to it. But you have to learn to master the basis of an analysis of price and therefore expect the issue of price movement based on the practice mainly accuracy and this is what comes from the expertise and experience which should not hesitate to do it whenever you get the chance. Do not wait to read everything about technical analysis even begin to exercise analysis. if you do that you will not finish reading. There are lots and lots of books, articles, magazines and websites specialized in the explanation and interpretation and promotion of new and old theories and principles of technical analysis. But Start Once you read this chapter to open graphs program and try to apply what you have learned in this chapter. Read the graph for each currency and in what time frame. see how they move candles and bars when it approached the support and resistance points. Try to put expectation for the price of the currency and see the result of this expectation. feedback record. anzer how exchange rates are affected after the issuance of various economic data. Repeat this work on an ongoing basis and make him the challenge is not without pleasure. Do not be afraid of the practice and experience. do everything and do not hesitate to apply all what you learn and read about the subject. The important thing is to practice because it is that gives you the experience that no one can give you them. During all that you do more to check the depth of your knowledge gradually. Let it simple Keep it simple It is famous for advice related to technical analysis. Yes, things do not hold. It is not a condition to rely on dozens of indicators and all the concepts of technical analysis in order to be successful, but the opposite is true. There are a lot of experienced traders with higher success does not depend only on the index or two points of resistance and support in their expectations of price movements and their expectations are often successful. It is not what is important is the large number of indicators and principles that are taken in the analysis, but the important thing is to engage in a timely manner and get out in time. Sometimes, when much of the concepts and indicators take it gives you mixed signals. may indicate that some of you sell while the other indicates that you buy. This will cause you a lot of confusion and bewilderment. We wanted it to say that you do not rush to understand all the theories and principles used in the analysis of price movement, but what we should do first is concerned with the process and applied practice what you learn. The experience and then the theoretical knowledge is the key to mastering the technical analysis of price movement. And remember Bank and the amount of time and effort that gives him in practice and learn technical analysis as much as accuracy, which will need to anticipate the direction of the movement of exchange rates And what this means of successful transactions may be translated in the form of financial profit is enormous. It was Traffickers Japanese rice markets in the seventeenth century were first invented and used method of candles in the expression of the price movement, and I have this method has proved a great effectiveness in the flour and clear expression at the same time for price movement, making it superior to Western-style in the expression of movement based on the rails bars Price is not in the rice market, but has also started in all financial markets, whether stocks or commodities or currencies. The benefit of Japanese candles were not limited to accuracy and clarity, but also that he has long been discovered that the forms of Japanese candles are better able to express the psychological state of the market and the nature of the conflict between the sellers who pay the price to drop and buyers who pay the price to rise any nature of the conflict between the Bears Bears and bulls Bulls or supply between the forces of supply and demand forces demand. It has been shown that the forms of candles give signals about what happens to the price in the market and thus can predict the direction of the price later hence the technical analysis using candlestick analysis method is similar shapes patterns that we talked about, but it depends on the forms of Japanese candles. It is a technique credibility appear in the relatively long time frame, such as the framework of the day, week, or at least the time in the time frame of at least so it loses a lot of credibility and accuracy. When the shops analyzed currency and candles to show the Japanese currency this certain ways, shops can be expected that the price of the currency will rise or fall later. The analysts gave each a form of Japanese candles its own names and their respective specifications and characteristics defined by There are two types of Japanese candles: 8226 Type indicates his appearance on that price will continue to rise. 8226 The type shows his appearance on the possibility of a reversal in price movement. Let us take an example: Called candle that do not have the body star Doji star. The candle that have no body means that the opening price equal to the closing price. The emergence of this candle may mean the possibility of a reflection of the price as you can see in the following manner As you can see, there was a three candles followed by a rising star Vmpmama explain that It was the price in the previous three days, close to the high On the fourth day become the opening and closing price equal, which means that the market may become reluctant to raise the price more than that and the display has become the equivalent of demand and this may indicate the possibility of a lower price in the next day. So-called star that comes after several candles rising star bearish bearish any points for a low price. See the following form: As you can see there are three plugs falling followed by star means that the price had closed down for three consecutive days, then the star appeared which refers to equal supply with demand, which may indicate that the market is reluctant to lower the price even more, and therefore it follows all of this decline rise in price in the next day. So-called star that comes after several candles bearish rising star bullish indicate any of the high price. Thus formed his star alone does not mean that the price will rise or Atkhvd even after the emergence of a rising star candles or a bear that is what gives meaning to the form. Valndjemh itself mean that there is a tie between the demand and raise prices by the forces of supply that lower prices forces and this refers to the frequency of the market to continue in the former direction. There are many forms is the star has a meaning varies by placing candles that preceded Among the most important of these forms to: Hanging Man Hanging man Morning Star Morning star Evening Star Evening star Three soldiers Three soldiers And a lot of other forms that are not without their names from the novelty. It is worth mentioning that the Japanese candlestick analysis, like other methods of analysis should be used for other types of Bladhafah and not independently. It is not enough to see his star rising after three plugs to control that the price will fall. Has incredible analysis this time But if the former star appeared and the price was close to the support of a strong resistance line as well as the RSI indicator, for example, he gives that the price is too high over bought Here you have three methods of analysis methods indicate the proximity of the low price and thus the probability of this happening becomes much larger than rely on one method. Japanese candlestick analysis has proved a real effectiveness in many financial markets, prompting a lot of professional analysts relied upon, although there was also a lot of analysts who do not turn a lot of this type of analysis. Analysis of Japanese candles subject of broad and needs you to look at and practice what we have mentioned here is nothing more than the definition and pave this innovative type of analysis, which reminds me of a personal horoscope reading by analyzing the symbols in the remnants of coffee cups However, the latter is nothing more than a fairy tale The analysis candlestick is a combination of science and art proved effective and only missed analysts to financial markets and their time in the study and use.
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