Article Library

21/41
Ranking
  1. Почему - Итак это последний месяц конкурса, и все ринулись писать статьи. К сожалению компания решила прикрыть много кункурсов, согласен. Мы не оправдали их надежд. В Бинарах все лупят нахаляву, порой у победителей смотришь стайтмент а там....... -1000% профита ))) а то и более, просто человек на удачу изо дня в день, пытался разогнать свой счет. то есть даблил-удваивал удачу. Если посмотреть то всего для победы нужна серия из 6 побед 1-2-4-8-12-16. Я все мечтал победить но увы. Теперь на реальные деньги страшнее. Конкурс статей в массе писатей пишут ни о чем. Технический анализ просто нужна удача и по возможности максимальное количество прогнозов. Тоже лотерея.
Read article
Translate to English Show original
cashshark avatar

amazing article , it contains a useful information

Olkiss70 avatar
Olkiss70 7 Sep.

well done!

Natalia_Kisenko avatar

good job!

klintons avatar
klintons 3 Oct.

Labais

silverman avatar
silverman 15 Sep.

Робот не законченный, а где трейлинг-стоп ? А так работа в безубыток ?!

orto leave comments
17/41
Ranking
1. Overview
After several publications on how to build strategies in Visual jforex and tracking of various strategies performances I decided to write one more article on several strategies usage at the same time. So in this publication I will cover 3 different strategies and its pros and cons on its usage simultaneously.
2. Strategies logic
There are 3 strategies working in different pairs: EUR/USD, USD/JPY and EUR/JPY.
All 3 strategies has very simple positions opening logic it uses 5 min. RSI to determine position opening. RSI thresholds are configurable and can be change on strategy start:
Thus simply if RSI is higher than threshold rsi_h strategy opens short position and if RSI is lower than threshold rsi_l strategy opens long position. Additionally there is check if spread is within acceptable range in order not to open positions then spread widens and also one more check is implemented which prevents increasing exposure in the same currency if certain position is already open. For example if there is already EUR/JPY long opened opening of EUR/USD long will be prevented by strategy only opening of EUR/USD short will be possible. This is realized in visual jforex in following w…
Read article
Translate to English Show original
Elenaa_ avatar
Elenaa_ 28 Aug.

Interesting

skyisthelimit avatar

Useful article.

AAAnya avatar
AAAnya 30 Aug.

Good article!

habibp avatar
habibp 31 Aug.

nice one

sashulik avatar
sashulik 31 Aug.

good article!

orto leave comments
27/41
Ranking

In the middle of difficulty lies opportunity … Albert Einstein

No matter how one values the recent ESMA activities, concerning the killing of binary option trading or raising minimum margins or the cutting of leverage respectively.
One important and sobering fact about the success of traders has become now official and reliable information.
https://www.esma.europa.eu/sites/default/files/library/esma35-43-904_call_for_evidence_-_potential_product_intervention_measures_on_cfds_and_bos_to_retail_clients.pdf
In the ESMA paper itself a losing rate of 74% to 89% of FX and CFD Traders was reported by the different national supervising bodies.
But the story does not stop there, all brokers regulated by a national authority within ESMA, have to publish their “Loss Odds” on their websites now.
I made a simple test. Just opened any random broker comparison site, only selection was FCA regulated (could have been BaFin, could have been CySec, etc.). And checked the odds of the first 10 brokers listed. I do not name any names, as I do not want to promote or blame any of them. Anybody can simply repeat my experiment and have her own results.
  1. B1 85%
Read article
Translate to English Show original
anvifx avatar
anvifx 19 Aug.

nice work!!

shinski avatar
shinski 30 Aug.

good work

ladyred avatar
ladyred 30 Aug.

Nice job. good luck!

jamesgray avatar
jamesgray 30 Aug.

good information

emmagonzales avatar

great article

orto leave comments
9/26
Ranking
Hello community members, fresh month fresh opportunities waiting for everyone in the time coming ahead. So, i am here with a new article which may enhance your trading ability and make you gain some nice profit this month. This may change the way you look at the market. As my title is very much clear, we are going to learn about "Breakouts and Fakeouts".
A breakout can occur when a specific price level is breached such as support and resistance levels, pivot points, Fibonacci levels etc. With breakout trades, the goal is to enter the market right when the price makes a breakout and then continue to ride the trade until volatility stay alive. If there is large price movement within a short amount of time then volatility would be considered high. On the other hand, if there is relatively little movement in a short period of time then volatility would be considered low.

How to Measure Volatility:

Volatility measures the overall price fluctuations over a certain period of time and this information can be used to detect potential breakouts. There are a few indicators that can help you gauge a pair’s current volatility.
#1 Moving Average:
Moving averages are probably the most common i…
Read article
Translate to English Show original
AS_binary_option_trader avatar

Хороший тех. анализ!!!

Gifty4x avatar
Gifty4x 18 May

Nice!

Fizatata avatar
Fizatata 18 May

Supper analis

AnnaZhurina avatar

Very good job !!!

hrustiashka avatar

Good job!

orto leave comments
13/31
Ranking
Hello Community Members, this is my very first article. So, I want to start with the basic strategy which is the base of the Forex trading. The following pivot point trading strategy has been around for a long time. It was originally used by floor traders. This was a nice and easy way for floor traders to have an idea of where the market was going during the course of the day using just a few basic calculations. The pivot point is defined as the level at which the market direction changes for the day. Using some simple math and the previous day's high, low and closing prices, a series of points are set. These points can be critical support and resistance levels. The pivot level, support and resistance levels calculated from those prices are collectively known as pivot levels.
The Pivot is the point around which market moves

Every day, the market you are following has an open, high, low and closing price for the day (some markets, such as the Forex market, are open 24 hours, but we generally use midnight GMT (Greenwich Mean Time) as the open and close time). This information basically contains all the data you need to use pivot points. The reason pivot points are so popular is tha…
Read article
Translate to English Show original
kish avatar
kish 3 May

хорошая статья

tdbatinkov avatar

very good

nhamfx16 avatar

Good article

ochiki avatar
ochiki 1 June

great stuff...keep it up man!

MR_KHALEDBADRY avatar

Good work

orto leave comments
1/31
Ranking
All traders meet disbelief on their strategy when they keep losing. In most of the cases traders will shift to other strategies. I also did the same. After sometime I understood that it is not about strategies but about psychology. Of course there is no strategy that gives 100% true signals. They give around 60-80% true signals which are more than enough. But in spite of these percentages we keep losing. The reason for these failures is character and psychology. In this article I will share my mistakes/reasons that make me lose. I reflected my trading method in my article one currency master trading.
Wish to catch the trend earlier
By analyzing my trend history I found that I don’t wait completion of all criteria. At the end I lose.
My trading method says that trend end is near when ADX falls and MACD shows divergence. But for us to be able to sell here in chart, 21 EMA and price have to be below 144 EMA. I saw ADX and MACD signals and decided not to wait EMA signal and lost money two times.
Losing focus and deviation from method
When I am concentrated in one direction I can lose focus and can’t see signal.
Price reached the highest point. It touched resistance level and I had a…
Read article
Translate to English Show original
rinaa avatar
rinaa 30 Apr.

great

Rosie avatar
Rosie 30 Apr.

интересно и познавательно

Wovch avatar
Wovch 30 Apr.

well done!

Ne_juli avatar
Ne_juli 2 May

Good job , thanks that you shared so interesting information

rashadali avatar

Dear Friends!  Thanks for you support!  This article, with your support became the winner of April article contest! You are best of this community! )

orto leave comments
5/31
Ranking
Dear traders
greetings and good. In this article, we deal with emotional stability and its effect on the trader. Each of us went through the process of placing the order of the trade and then change it in the last moment or modify it or cancel it. If activated, it will continue to be monitored And with the first loss of a simple closed it and opens a new order in the opposite direction and then soon see nothing wrong what he did What is the problem here? The problem is that there is no Emotional stability when rolling.
What is emotional stability?
The emotional stability of a person is to have the ability to control his emotions ...
It does not appear strongly whether the emotions of anger or jealousy or joy or love
You may see the meaning of an explanation against him. Emotional stability is the opposite of emotional disturbance. The latter is a situation in which emotional reactions are not suitable for their increase or decrease. The fear of responding to a truly frightening fear is not an emotional disturbance but a normal emotional response to life. It is exciting, not scary, it is considered an emotional disturbance. Emotional stability is a characteristic characterized by
Read article
Translate to English Show original
vadimka avatar
vadimka 19 Apr.

GOOD JOB

devil0530 avatar
devil0530 19 Apr.

All the best!

Illya avatar
Illya 20 Apr.

Good view!

lovybandesha avatar

Good job..

Zodiak avatar
Zodiak 24 Apr.

very good article

orto leave comments
10/31
Ranking
1. INTRODUCTION
This strategy is not in entry points, the most important of the entry points is Stop-Loss, easy to identify the entry points which is the entry with the trend but the most important is to put a stop loss, in this strategy traders are watching very closed points of resistance and support this is why a lot of times Price reflection is due to the war between buying and selling at this point when the resistance is broken or supported
2. Applying Breakout trading in forex
A) Currency Pairs :
All currency pairs in dukascopy platform
b) Time Frame
use 15 MIN and 30 MIN time frame
3. Concept of strategy :
Trading strategy is to find a movement in the market liquidity to close the pair above resistance or under support and this tells us that the liquidity is high on one side(up or down ), when the pair breaks up resistance and close we are opening a buy order market with the stop loss in the average number of points between support and resistance It was broken and when a candle closes under support we enter a sell deal and put stop loss in the points between the previous support and resistance will show you in Examples.
4. Examples:
a) open Long (buy) Trade :
use at l…
Read article
Translate to English Show original
Shikyu avatar
Shikyu 3 Apr.

хорошая статья

Verona888 avatar

nice job!)

colai avatar
colai 22 Aug.

Молодец

tomaca avatar
tomaca 23 Aug.

Very interesting, I think this will help me when trading on Forex, thanks for the article.

klintons avatar
klintons 26 Aug.

Labs rakst !

orto leave comments
3/31
Ranking
  • Введение
Трудно придумать что-то новое в плане новых торговых алгоритмов. Конкуренция игроков на forex так велика, что привычные торговые системы стали не эффективны, индикаторы, работавшие 30 лет назад, уже не актуальны. Рынок контролируют крупные игроки с передовыми торговыми роботами, использующими не индикаторы, а комплексный анализ заявок и глубины рынка, психологию толпы. Поэтому все труднее отыскать надежный и прибыльный алгоритм, ведь рынок forex сейчас большую часть времени носит хаотичный характер и с трудом поддается техническому анализу. Недавно, занимаясь торговлей bitcoin/usd, увидел, насколько хорошо там отрабатывается эта модель - до 80% случаев. Конечно, на форекс эта модель работает гораздо хуже. Вот я и решил проверить, применима ли стратегия на основе данной модели к валютным парам.
  • Модель "Сходящийся треугольник"
Эта модель поведения цен характеризует консолидацию на рынке, обычно перед резким движением вверх или вниз. Существует три разновидности этой модели: восходящий треугольник, нисходящий и симметричный (см. рис. 1).
  • Рисунок 1

Рассматривать расходящийся и симметричный треугольник я не буду, а остановлюсь подробнее на нисходящем и восходящем треугольниках.…
Read article
Translate to English Show original
Sebine avatar
Sebine 24 Mar.

Интересно было почитать!

orto leave comments
8/31
Ranking
Hi Pip Warriors,
Welcome to another new month, Forex is not magic but it’s full of logic and people sentiment where god will also fail to predict market direction. Let’s assume god decided to start forex trading without experience/knowledge, money and risk management then god will also hit rock bottom within months. I am going to tell a new pip warrior story which is worth listening.
When I started to trade, I was scared and felt like entering to some unnatural world where life is full of unexpected traps so started to meet new people in the new world to understand and to start new pip warrior life.
I am always excited to meet new people in Dukascopy because I love to listen their trading life cycle by asking questions like how they came to know about forex, how is their trading life and much more. Final and my favorite question is please can you give some suggestion for successful trading.
From every people I met in Dukascopy always took something good from their trading life and trying to adopt to my trading journey. As usual met one guy in Dukascopy and like same asked about his story where I learnt so many things so I thought to share his story because it will be lesson for…
Read article
Translate to English Show original
iiivb avatar
iiivb 30 Apr.

great and thanks for sharing!

ElizavetaKl avatar

Good article

Denis777 avatar

интересно

tdbatinkov avatar

well done

KalenS avatar
KalenS 12 May

отлично

orto leave comments
1/31
Ranking

Наиболее простыми и эффективными уровнями на форекс являются круглые уровни. Причина кроется в психологическом восприятии данных уровней и стремлении людей все округлять. В данной статье рассмотрим стратегию основанную на пробое круглых уровней.


Торговая стратегия

Суть торговой стратегии будет заключаться в том, что после пробоя круглого уровня цена пройдет в том же направлении еще некоторое расстояние. Я полагаю, что связано это будет с некоторыми факторами. Во-первых, если это будет истинный пробой, то цена уйдет далеко за круглый уровень. Во-вторых, если это будет ложный пробой, то цена так же должна пройти некоторое расстояние в направлении пробоя, к тому же многие трейдеры любят выставлять стоп лоссы за круглые уровни, которые могут стать желанной мишенью для крупных игроков. Речь в данном случае идет о небольшом расстоянии порядка 10 пунктов.


Торговать будет пробои круглых уровней валютной парой EUR_USD посредством установки отложенных ордеров на ближайших круглых уровнях по обе стороны от текущей цены. Тейк профит будет равняться 10 пунктам, а стоп лосс – 20 пунктам. Конечно же, не самое оптимальное соотношение тейк профита к стоп лоссу, но цене нужно дать «подышать». Отл

Read article
Translate to English Show original
Dominos avatar
Dominos 23 Mar.

Good article

lovybandesha avatar

Nice job

FomikSer avatar
FomikSer 5 Apr.

Хорошая статья, успехов в торговле!!!

NAG avatar
NAG 9 May

ОТЛИЧНАЯ СТАТЬЯ, УДАЧИ))))

pramuk avatar
pramuk 3 June

Interesting

orto leave comments
9/31
Ranking
Hello everyone, i have been trading from past 8 years. I have come across so many indicators, strategies and analysis. But what ever i tried with those indicators and strategies ended up with huge losses after some period or interval of time. Because each strategy work in a specific market conditions only. And when market condition changes that strategy fails. You have to be flexible to survive in any market condition. But its never "The end" until u "Give up". So finally, i have the system or the strategy that work in any situation, But it has its own rules, If you follow the complete set of rules, you ll never end up in loss on weekly basis. This is a kind of Hedge technique and things we need are.
1.) Vision: You should be able to predict which side market may move ahead.
2.) Money Management
3.) Patience
If you are able to look at a chart and identify when the market is "Trending", Then you can enter in the direction you like.
Example: I bought 0.10 volume of GBPUSD at 1.4150 and my TP for GBPUSD will be 1.4200 and SL 1.4047. Here i am taking TP as 50 Pips and SL as 100 Pips, i added 3 pips extra into SL because i counted the spread as well (SL= 100 + spread of the pair). …
Read article
Translate to English Show original
Valeriia_Novikova avatar

good work

yellownight avatar

good luck

IgorKolchik avatar

good

Vlad73 avatar
Vlad73 30 Mar.

interesting

CTygeHT avatar
CTygeHT 30 Mar.

Good article!

orto leave comments
21/32
Ranking
Торговая идея
Данная стратегия будет отличаться от всех других стратегий тем, что график цены будет иметь второстепенную роль. Даже важно сказать, что цена фактически не будет влиять на условия открытия сделок. В стратегии главным и основным элементом является индикатор Awesome2. По нему же и будут открываться ордера.
Временной период - любой;
Валютные пары - любые;
Индикатор - Awesome2 (Median Price(HL/2); 5,SMA; 34,SMA).
График 1. Вид стратегии
Как уже ранее сказал, что временной период можно выбирать любой. Но лучше всего использовать данную стратегию от М30 и выше, так как качество ордеров будет на порядок выше, чем на меньших временных периодах. И к валютным парам нет какого-то определенного выбора. Но все же из всех валютных пар предпочтение падает к более "ходовым" парам. Я же на графике буду использовать EURUSD.
Суть стратегии
В стратегии есть один индикатор. Это Awesome2. И начало технического анализа и открытие сделок будет осуществляться по нему. Цена в данном случае нужна лишь для визуального "осмотра". Дальше нам понадобятся трендовые линии. А строить их будем не на графике цены, а на индикаторе Awesome2. Для правильного построения трендовой линии …
Read article
Translate to English Show original
Natalia_Kisenko avatar

Very good article!

Sebine avatar
Sebine 28 Feb.

Интересно было почитать!

hrustiashka avatar

good article

Lovely_bee avatar

Отличная работа ) Удачи )

orto leave comments
20/32
Ranking

В прошлой статье я рассматривал поведение цены при пробое экстремумов предыдущего дня. Анализ показал, что в большинстве случаев после пробоя минимума или максимума предыдущего дня цена продолжает двигаться в том же направлении как минимум еще 10 пунктов. Однако, в комментариях к статье справедливо было замечено, что до достижения дано цели цена может откатиться назад и закрыть позицию по стоп лоссу. В данной статье постараемся подобрать оптимальный стоп лосс и построить стратегию торговли пробоев экстремумов предыдущего дня.


Определение уровня стоп лосса

Для определения уровня стоп лосса воспользуемся функцией оптимизации торгового робота в платформе JForex. Но сначала опишем самого торгового робота. Торговый робот будет запускаться после закрытия дневной свечи нужного нам торгового инструмента и выполнять следующие операции:


  • Закрывать все открытые позиции (позиции будут закрываться по тейк профиту, стоп лоссу либо в конце дня)
  • Проверять дату закрывшейся свечи (торговать будем только во вторник, среду, четверг и пятницу)
Read article
Translate to English Show original
Alexander22 avatar

хорошая статья! удачи!

miss_natalia_77 avatar

Отличная статья ))????

Vaibhav27 avatar
Vaibhav27 26 Feb.

Useful perspective!

Viktoriya_kisik avatar

Наверное только самый опытный трейдер сможет применить такую стратегию,  чтобы  получить хорошую прибыль?  Правильно я понимаю?

annamuzova avatar
annamuzova 27 Feb.

Очень интересно

orto leave comments
25/32
Ranking
Hello everyone, i have been trading from past 8 years, i have come across so many indicators, strategies and analysis. But what ever i tried with those indicators and strategies ended up with huge losses after some period or interval of time. Because each strategy work in different market conditions. You have to be flexible to survive in any market condition.but its never "the end" untill u "give up". So finally, i have the system or the strategy that work in any situation, But it has its own rules, if u ll follow the complete set of rules, you ll never end up in loss on weekly basis. This is a kinda Hedge technique and things we need are..
1.) Vision: You should be able to predict which side market may move ahead.
2.) Money Management
3.) Patience
If you are able to look at a chart and identify when the market is "Trending", Then you can enter in the direction you like.
Example: I bought 0.10 volume of GBPUSD at 1.4150 and my TP for GBPUSD will be 1.4200 and SL 1.4047. Here i am taking TP as 50 Pips and SL as 100 Pips, i added 3 pips extra into SL because i counted the spread as well (SL= 100 + spread of the pair). Immediately place a sell stop 0.30 volume of GBPUSD at 1.4100 …
Read article
Translate to English Show original
yellownight avatar

good article

orto leave comments