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18/41
رتبه
Introduction
Humans have really strong tendency to sell assets which brought them profit and avoid to sell those which has shown loss. This reaction is called disposition effect and has major impact on most of trader’s trades. To explain this situation, scientists said that, in general, we avoid grief caused by losing transaction and we are aiming to reach pride caused by wining one. The main question is: Does closing early profitable transaction and keep increasing loss make reasonable trading?

Defining the problem

Every trader should check if he or she undergoes a disposition effect. Identifying problem may help optimizing trader’s outcome.
There are three questions you have to answer and if you answered yes to one of these questions you probably ended up trapped in disposition effect, keeping open losing positions when loss is only increasing in time:
1. If the price will return from the loss to break even point I am going to sell this position.
2. Loss is so big at the moment so I won’t close position because rebuilding capital will take too much time.
3. I will keep losing position because loss is so big it cannot go any bigger further.
How to prevent yourself from bei
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Natalia_Kisenko avatar
Natalia_Kisenko 31 اگوست

good job!

VALTRAD avatar
VALTRAD 31 اگوست

Правильно написано

Mattie avatar
Mattie 1 سپتامبر

Spend more time managing your winners than losers. Stop loss orders work for losing trades and GTC orders work well to capture profit when you do not have time to stare at the tape action all day.

yellownight avatar
yellownight 2 سپتامبر

good luck

Aaamira avatar
Aaamira 4 سپتامبر

good article!

یااظهار نظر
8/44
رتبه
Best strategy for news trading I have ever know and at the same time which makes good profit in long run and I have given its name as Double rocket because we will be waiting on both sides to get lunch to sky high in seconds. Rockets are always too dangerous so proper money management requires otherwise we will be busted mean to say our account will become zero in minutes.
In the above picture please check his standing position it’s exactly looks like double rocket position it looks funny but very dangerous. Let’s assume that you’re standing on both the cars and you want to catch the Flight but you don’t know which car will reach the airport and don't know the drivers performance so you decided to check drive capacity and standing on both cars.
Now you have three outcomes:

1. If you selected right car then you will catch the flight and reach your destination.
2. If you selected wrong car then you will get down in the half way and cancel the flight.
3. If you decided to ride on ride on both cars then you will die (Forex account zero) if there is no proper safety.
When and how to apply double rocket strategy?

1. Double rocket will work only at the time of major news release …
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klintons avatar
klintons 14 اگوست

Echt cool !

JuliannaS avatar
JuliannaS 15 اگوست

hmm , cool and easy to understand your idea in article

SmErtNIK avatar
SmErtNIK 18 اگوست

cool

Adi001 avatar
Adi001 26 اگوست

Simplest, dumbest, but the best ever :D  just remember to send orders just a  couple of seconds  before release so you avoid the pre release spike. Concerning the news spike, just backtest. Gdp on gbp and usd will always have the spike, usd interest also, nfp when not together with cad employment. These are best to fade, just let it run then go opposite. The rest i think all good for rockets hahah good luck!

Adi001 avatar
Adi001 26 اگوست

Oh and be careful with nzd, rub, try!  Their data like interest rates and gdp will lag, have huuuge spreads, even get you- instrument unavailable, so best skip the release and enter on retracements

یااظهار نظر
2/44
رتبه
Сегодня хотел бы рассказать о том как можно самостотельно организовать процесс анализа трейдером своей торговли.
Статистика поможет взглянуть на себя со стороны и оценить свои действия, найти сильные и слабые стороны.
Я не использую ни платные, ни бесплатные сервисы, представленные на просторах интернета.
На сегодняшний день я использую информацию, предоставляемую платформой. Конечно необходимо провести определенную настройку обработки занесенных данных с помощью функционала Microsoft Excel.
Первым шагом меня интересовало то, насколько эффективно я торгую тем или иным инструментом.
Для чего я свел в одну таблицу данные о количестве прибыльных и убыточных сделок и общем результате в разрезе каждого инструмента и месяца.
Однако, перед этим мне потребовалось привести информацию о совершенных сделках в удобоваримый для Excel формат.
Все закрытые трейды я вношу в отдельную таблицу в таком виде:
Далее, используя функции выборочного вычисления «СЧЕТЕСЛИМН» и «СУММЕСЛИМН» рассчитываются соответствующие показатели.
Таблично это выглядит так:
Так как, я пробую различные стили и стратегии торговли , меняются длинна STOP-LOSS и TAKE-PROFIT. Для анализа влияния на итоговый результат при…
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anvifx avatar
anvifx 7 جولای

very good

Starsailor avatar
Starsailor 7 جولای

impressive work

Wovch avatar
Wovch 21 جولای

good job

petia avatar
petia 12 سپتامبر

nice work

vicalex72 avatar
vicalex72 20 ژوئن

неплохая работа проведена.  Так держать

یااظهار نظر
19/65
رتبه
Каждая сделка имеет свое НАЧАЛО и КОНЕЦ...
То есть у нас есть всего два фактора, работая с которыми позволяет нам или ВЗЛЕТЕТЬ в торговле или...
Если верить статистике, то лишь около 3% трейдеров получают прибыль стабильно. Но при етом всегда нужно помнить, что торговля на финансовых рынках сопряжена с большими рисками! ОСОБЕННО торговля неумелая!!!
Так что такое "stop loss" и "take profit"?
Стоп лосс (stop loss) — ето отложенный ордер, ограничивающий убытки или ордер который остановляет потери. Именно он выставляется с намереныем заранее ограничить наши потери уже просчитанной суммой, которую мы согласны принять в качестве убытка. Именно stop loss позволяет нам выйти из рынка пока еще не слишком поздно, пока убыток еще мал и не уничтожил наши деньги целыком и полтостью.
Тэйк профит (take profit) по сравнению с stop loss , наоборот, поручает закрыть позицию при благоприятном изменении цен.
Как же используются "stop loss" и "take profit"?
Стоп лосс изпользуется как страховка, на случай, если сигнал о совершении сделки при использовании торговой системы не оправдал себя. К примеру если размер "stop loss" устанавливают на уровне 5%, и вы купили "акцию" за 10 $ , то при снижении це…
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mutsi avatar
mutsi 30 اوریل

Good job!

HOME avatar
HOME 1 مه

very good

tdbatinkov avatar

INTERESTING

AlexInTrade avatar

интересная статья

NikaTigra avatar

удачи

یااظهار نظر
14/65
رتبه
Abstract
Stop Loss is often seen as a powerful weapon at the trader's disposal. However, almost everyone has gone through situations where Stop Loss behaved is like a trap.In this article we will analyze these two perspectives that we can give to the use of Stop Loss and with practical examples of its application in JForex.
The Stop Loss
For those who are more familiar with this terminology, a Stop Loss is a negative order instruction that closing our main order. In this context a Stop Loss means a closing order when the market goes against us and forces us to take losses.
It may seem strange and counterproductive that we are closing our order while losing. Why we not wait for the order to be positive and then close the order. This rationale is logical, the problem is when our order does not stay positive and is losing more and more and the use of Stop Loss would have been advantageous.
However, we also have cases where the market fluctuates rapidly and our Stop Loss has been activated, causing losses if we did not have Stop Loss there, our order had a positive result.
Traders sometimes complain that it seems the market was even at the price where our Stop Loss was placed. H…
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legslim avatar
legslim 28 اوریل

Bom artigo

fidanvi avatar
fidanvi 28 اوریل

Nice

albertocorreia avatar
albertocorreia 28 اوریل

Gostei.

ARASHFATHI avatar
ARASHFATHI 15 ژوئن

do you think this is good?

ARASHFATHI avatar
ARASHFATHI 15 ژوئن

yes, its good

یااظهار نظر
17/59
رتبه
Определение суммы сделки и уровня stop-loss.
В торговле на рынке Forex важным элементом является правильное определение размера сделки. Рассмотрим последовательность действий для определения размера лота выставления stop-loss.
Данные для расчета:
- Трейдер имеет в своём распоряжении депозит в 1000 $,
- Любимая пара трейдера для торговли: EUR/$,
- Ограничение убытка по сделке: 5%,
- Очевидно, что ограничение убытка в сделке будет 50 $ (5% от 1000 $).
Используя эти данные можно просчитать, на каком максимальном расстоянии необходимо установить stop-loss чтобы не превысить указанные убытки:
Любая сделка трейдера это гипотеза о будущем движении рынка. Имея определенный опыт, трейдер сможет определить тот уровень, достижение которого будет означать ошибочность выдвинутой гипотезы.
Очевидно, если цена достигла указанного уровня, то дальнейшее удержание открытой сделки и увеличение убытков становится не целесообразным.
Огромное значение для определения уровня установки stop-loss играет и time-frame применяемый в торговле трейдером: например, для работы по 4-х часовкам необходим значительно больший размер депозита, чем при торговле на минутках.
Когда Вы определите величину лота и …
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_shokolad_ avatar
_shokolad_ 5 مارس

удачи!))

Daniil_Stolnikov avatar

ММ - основа основ

marina2016 avatar
marina2016 6 مارس

убедительно

Vlad73 avatar
Vlad73 17 مارس

very good

Josecarlos avatar
Josecarlos 27 مه

muito interessante

یااظهار نظر
19/52
رتبه
The Double Top and Double Bottom are reversal patterns. Both patterns are very popular as investors are looking for a new trend, since the current trend is showing signs of a reversal. These chart patterns often create a chart what looks like a "W" (for a double bottom) or an "M" (double top).
The Double Top:
Characteristics of this pattern are that we have an attempt to break above the previous high, but the horizontal resistance holds the price and a new trend begins. As a result, we have two consecutive peaks, which are more or less equal. Recently, we had a very good example of double top pattern in NZD/USD (Picture 1). As you can see, the first element of the Double Top is that the price creates a first top. Then, it falls down and starts creating another move up. The point where the prices reverses to support after the first fall and starts ascending to create another top. The support is important for the final stage where we can measure the TP level.
In the second part, the price starts to move back up towards the resistance. IF the price stalls at the previous resistance and sells off, we have only two elements of the Double Top pattern in place and we still need a confirm…
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amerfx86 avatar
amerfx86 7 ژوئن

Very good chance to catch good price on double top or bottom

Sennna88 avatar
Sennna88 7 ژوئن

thanks!

P22498 avatar
P22498 9 ژوئن

Молодец!

FX90 avatar
FX90 9 ژوئن

good article

Sennna88 avatar
Sennna88 9 ژوئن

Thanks guys!

یااظهار نظر
20/66
رتبه

There is one immutable rule in trade, which is: "Always stick to your stop orders." Before entering each transaction, you should know your risk tolerance threshold. This is - the best way to make sure that your losses are controlled, and you do not get too emotional in their trade.
Trading is a tough business. According to statistics, more traders unsuccessful than successful. But most traders fail not because their market valuations are wrong, but because they are too emotional in the trading process. Their failures are due to the fact that it is too early to close their profitable trades, or allow losses to go too far. Risk should be predetermined. The best time to consider your risk before you place a trade when your market assessments regarding the objective, and your trading decisions free from the price action. On the other hand, if you have already made a deal and want to keep it, until it becomes the winning, it unfortunately does not always happen. You must determine the worst-case scenario for your transaction, and place a stop order on the basis of the calculated risk value or technical level. We emphasize once again that the risk should be predetermined before you ente…
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tdbatinkov avatar
tdbatinkov 3 مارس

... great article... informative and useful

OneGoodTrade avatar
OneGoodTrade 5 مارس

You might find interesting the comments from my blog. Good article even if there is always another side of the coin.

sezann avatar
sezann 5 مارس

Использовать или нет стоплосс - это дело индивидуальное. Например: при депозите в 10000 USD риск получить убыток в 200 USD при проходе цены в 200 пунктов согласитесь стоплосс не нужен. Поэтому очень важен фактор риска и Money management. И потом существуют стратегии выхода в безубыток или даже в прибыль.

williamb avatar
williamb 7 مارس

your article very useful

Aviator avatar
Aviator 10 مارس

good article!

یااظهار نظر
37/76
رتبه
Вступление
Дання статья есть продолжением серии статей. Предшедствующие вы прочитаете по адресам:
https://www.dukascopy.com/fxcomm/fx-article-contest/?Gral-Vse-Blizhe-I-Blizhe&action=read&id=2887
https://www.dukascopy.com/fxcomm/fx-article-contest/?Lokirovanie-Pozicijj-V-Forex-Chast&action=read&id=2912
Предыдущая часть рассказывает о таком понятии как лок-замок. Дано определение, что локированные позиции – это противоположные длинные и короткие позиции одинакового объема, открытые по одному и тому же инструменту на одном торговом счету.
Вы должны знать, что с понятием локирование связано не обьязательно полное локирование « замок ». Возможно и частичное локирование. Понятие частичного локирования сравнимо с рыночным понятием закрытие части позиции ( хеджирование позиции ) ( conditional close ).
В этой части я постараюсь расскрыть мое видение плюсов и минусов метода локирования позиций. Все что касается полного локирования ( замок ) возможно распостранить и на частичное локирование. Но это уже ближе к конкретной рыночной ситуации, а в этой статье я этого рассматривать не буду. Мой подход в определениях плюсов и минусов локирования позиций не исключает поиска решений и в други…
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salamandra avatar
salamandra 26 فوریه

isomere , SofiaM спасибо за то, что рассматривали мои статьи. Спасибо за ваши отзывы.

TaniaS avatar
TaniaS 27 فوریه

Хороша стаття!

salamandra avatar
salamandra 27 فوریه

TaniaS Вдячний Вам. Ось отримаєте диплом і одна з нових Ваших спеціальностей буде торгівля на фінансових ринках. Нехай щастить Вам.

Nihad avatar
Nihad 27 فوریه

Good luck Salamandra

salamandra avatar
salamandra 28 فوریه

Nihad спасибо Вам. Будут вопросы пишите.

یااظهار نظر
5/70
رتبه
The Big Shadow Candle Trade
Introduction
In this article I’d like to expond on the big shadow candle trade, which is part of the general price action strategy. Price action trades on candles alone because that is where the action is, hence the name. In price action we do not look at indicators (MACD’s, RSI’s, stochs and the whole lot) as these indicators, in my opinion, can trick you into losing trades.
To put it simply, these indicators lag. I’m interested in what will happen in the next 1 hour and not what happened last hour or yesterday. The price action strategy, which is based on candlesticks, like a magic ball, can show us how the price might, in its highest probability, behave in the near future.
One of the standard price action strategies are the bullish or bearish engulfing candles on any time frame above 5 min. But this engulfing candle strategy can, unfortunately, land you in losing trades. The big shadow candle trade is based on this standard engulfing candle strategy, but it has a few more rules that have to be met, therefore making it much more effective.
I have been using this strategy (amongst others) for some time now with good retu…
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WallStreet6 avatar
WallStreet6 29 ژانویه

very interesting!

Magic_FX avatar
Magic_FX 29 ژانویه

good work

fx211pips avatar
fx211pips 29 ژانویه

WallStreet6, Magic FX thank you for these comments.

PriceActionTracker avatar
PriceActionTracker 19 اوریل

You can use a tracker to get alerted each time a Big Shadow pattern is formed

PriceActionTracker avatar
PriceActionTracker 19 اوریل

Price Action Tracker scans in real time all most markets and time frames and alerts you as soon as it found a big Shadow pattern. Saving you a LOT of time and energy :-)

یااظهار نظر
35/70
رتبه
Today My Article is About Stop Loss & Take Profit .
Forex is a well liked trading zone that is utilized by expanding number of persons everyday to avail astonishing profits on money-making transactions. If you furthermore want to start trading in this lucrative market zone and profit from some additional cash at the end of the month, you should also understand that this open trade zone is highly volatile and dodgy with constant fluctuations and volatility. Therefore, as you equipment up to get started in Forex buying into, it is proposed that you get acquainted about the best ways of avoiding losses and take back greatest earnings.

What is Stop Loss?

When faced with threats of going through economic deficiency due to rapid instability of the market, traders can bank on the choice of ‘stop decrease’ to limit their loss to a smallest. As shortly as you location your halt decrease order, your foreign exchange trade will get closed with direct effect at that issue. There are diverse kinds of halt decrease orders that you can opt for in agreement to your trading strategy, market situations and other aspects.
Stop Loss Strategies

occasionally, traders furthermore use halt decrease cho…
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Airmike avatar
Airmike 13 ژانویه

nice

Skif avatar
Skif 27 ژانویه

an interesting approach

یااظهار نظر
23/66
رتبه
One of the good practices regarding the placement of trading orders is to set the stop loss and take profit. Sometimes it happens that we are at a very few pips to reach the take profit and close the order. Furthermore, this situation (failed the take profit) could encourage the trading without take profit and stop loss. In this article, we will see a way to avoid this situation and increase our revenues in automated strategies.
When we automate a strategy it is important to define the strategy based on the indicators that we will use and is also a good practice to define previously our stop loss and take profit values.
It sometimes happens that our strategy is only a very few pips to reach the defined take profit.
This very simple code can be added to a strategy putting it on bar closing that our strategy is working. In this case we consider an hourly bar.
This jforex code has the following steps:
First we define the value of our deltaPips (delta to reach the take profit). This piece of code run in all hourly bar closures, search for all orders that are in the FILLED state and verifies if the bar was closed less than x pips (value set in deltaPips) to reach the take profit. If t…
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VictoriaVika avatar
VictoriaVika 12 نوامبر

Insightful - very well done! A brilliant article. Inspiring! Many useful information, informative and helpful, also there are some useful tools introduced, good luck in contest/

LinnuxFX avatar
LinnuxFX 13 نوامبر

Good idea, I will implement it in some of my strategies!!

miguelmatos avatar
miguelmatos 13 نوامبر

good article.

picoas avatar
picoas 18 نوامبر

well done.

yellownight avatar
yellownight 24 نوامبر

thx for code

یااظهار نظر
11/43
رتبه
Introduction:
Trend lines are most popular in Forex for technical analysis of market. Most successful traders are using them. But only trend lines are not enough for trading because trend lines show many fake signals or breakouts. Ali’s strategy is new strategy in which many filters can filter the trend line signals and we can prevent fake signals. In this article i will discuss a professional Forex trading strategy with entry, take profit and stop loss rules. Money management will also discuss in it.
How to draw trend lines?

Trend lines are very important level of market. We draw trend line from peak to peak point of market. A best trend line should touch minimum 2 peaks of market. But trend line on more than 2 peaks are more perfect in trading.
Correct trend line example
False trend lines example
Buy Entry Rules:
- Trend Line break and close above by a bullish candle
- Moving average below the price
- Bar signal indicator maximum green
- RSI also break trend lines above
Sell Entry Rules:
- Trend line break and close below by a bearish candle
- Moving average above the price
- Bar signals maximum red
- RSI also break trend line below
Take profit :
Formula: …
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Rita1808 avatar
Rita1808 28 اکتبر

Good article!

VictoriaVika avatar
VictoriaVika 5 نوامبر

Great article, msharjeel  An original ideas, and really impressive approach! Thank you for sharing this information.

Annabel21 avatar
Annabel21 17 نوامبر

Very interesting, clear and straight forward article, thankyou.
I am still reading and learning, how do I apply the bar signal indicator to my demo account, is it possible to apply on a demo account?
Regards

msharjeel avatar
msharjeel 7 اگوست

#Annabel21  yes you can apply on Demo and live both accounts

msharjeel avatar
msharjeel 7 اگوست

Thank you guys, you can always welcome

یااظهار نظر
16/23
رتبه

Best Choices to Handle with Loser Forex Positions
Introduction:
After minutes of opening position in Forex, the position will either be profitable or loser, you will see your equity increase or decrease according to position. opening a trade in the market of Forex is very easy and simple but sometimes the pair move against your trade or Simply your position make looses instead of profits and this is great test for your profession and strategy.

From profitable to loser trade:


Generally, any one open a trade it may go against his/her favor and then it would decrease the equity of account. Losses may deepen if your stop loss is set far from entry or according to your exit strategy. Sometimes, the trade may convert from profitable to loser or the opposite in minutes or seconds especially at the time of strong data.
Loser positions adverse effects :
When a trade begin to make losses our adrenaline work and adversely affects our physiological and emotional behavior and this an enemy for any trade, but all of this depends on trading profession and experience, below the common adverse effect of a loser trade position:
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bharatholsa avatar
bharatholsa 12 سپتامبر

Very Insightful - I will use your suggestions.

JuliaBF avatar
JuliaBF 14 سپتامبر

Well done!

peachynicnic avatar
peachynicnic 15 سپتامبر

thanks for sharing

Stix avatar
Stix 25 سپتامبر

Every trader should read that ! Thank you so much ! Excellent. :) :)

VictoriaVika avatar
VictoriaVika 23 اکتبر

A brilliant article. Inspiring and nicely written, really good examples!

یااظهار نظر
4/38
رتبه
1:1.5 Risk Management Strategy
Professional trading and risk management

Every day new Forex strategies appears, every day hundreds of people claims that they succeeded in the Forex because they make the holy strategy which can make millions of dollars and the strange thing that they want to sell it to you by 30-40 dollar, really if you search in the net about Forex strategies you will find tons of them but that’s not changing the fact that most traders lose their money in the market.
Why we lose in Forex:

  • Technical analysis is not enough :
You can read one or two books about technical analysis and then become good technical but you may read many books in technical, Japanese candles, divergence, Elliot, astrology and Gann, but you feel that you are not able to trade and if you open life account you lose all money very quickly.I mean by saying “technical analysis is not enough” that you may be wonderful technical but big Forex loser.
  • Fundamental analysis is not enough:

A lot of people knows a lot about countries finance and very careful to follow and predict the life news of counties markets, but really that’s not working because they ignore price levels and the ability for any cur…
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independeceday32 avatar

I totally agree with you, when one begins on forex most important is not to lose all the money in your trading account in the first three months, this risk management strategy  helps a lot !! good article !!

BilboFX avatar
BilboFX 16 مه

Very good article and reminder about  the importance of money management, the first raison of a newbie complete loss of the account (I passed through this experience and learn it the hard way)

jezz avatar
jezz 16 مه

As far as I know (and I don't know much) self discipline is the final holy grail. On the other hand, explaining to a complete bot not to risk more than 1, 2, 3, 4, 5% of the account means nothing. Why? All start accounts are up to 1000$, usually around 500$. So you tell me not to risk more than 5-20$ on my first trade ever? With 0,01mil in the game we talk about SL at 5 pips maybe, give or take a few. I simply think that risk to reward ratio doesn't apply to micro accounts which most beginners have. Self discipline and sticking to the strategy is the first step towards a good risk management

khalidamassi avatar

jezz,Thanks very much for your comment but in micro account every 10 pips (for EUR/USD) equal 1 $ ,so 1% risk of 1000 $ mean that you can make one micro trade with SL at 100 pips not 5 pips as you mentioned ... you enter with 5 micro trades with each 20 pips SL ...please take in your calculations." I simply think that risk to reward ratio doesn't apply to micro accounts " that's very bad thought because it will you off from the market sooner.

khalidamassi avatar

Jezz, I mean it will kick you off from market if you make risky trades and do not strict to reliable reward ratio.

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