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Performance of the day 02-26-13

XSGSTEAM LOGOCari lettori, di seguito troverete alcuni suggerimenti presentati dai nostri partners di X-SGS Team! Assicuratevi di aver preso piena visione del nostro DISCLAIMERBuon trading e buoni investimenti!
The Article Picture
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Inst. Data Cod. Start Target Stop Result Profit. Complessive
AUDUSD 02-26-13 SD10 1,02349 1,02276 1,02468 Profit 0,812% 210,302%
GBPUSD 02-26-13 SD16 1,51433 1,50722 1,51873 Loss -1,547% 208,754%
USDCHF 02-26-13 SD16 0,92937 0,92424 0,93254 Loss -1,547% 207,207%
GOLD vs USD 02-21-13 BD15 1577,65 1608,77 1558,41 Profit 2,402% 209,609%
GOLD vs USD 02-26-13 BD09 1605,18 1607,75 1601,03 Profit 0,899% 210,508%
GBPJPY 02-26-13 SW02 138,873 138,252 139,877 Loss -1,547% 208,960%
USDJPY 02-26-13 SW02 92,071 91,885 92,372 Loss -1,547% 207,413%
... Read more

!ATTENZIONE!
TUTTE LE CONSIDERAZIONI, I GRAFICI E LE ANALISI CHE VERRANNO POSTATE SU QUESTO BLOG SONO FRUTTO DELL'ESPERIENZA E DEL PARERE PERSONALE DEI TRADERS DI X-SGS TEAM SAGL E SONO OFFERTE SOLO COME SPUNTO PER RIFLESSIONI PERSONALI E NON COSTITUISCONO IN ALCUNA MANIERA DIRETTA O INDIRETTA UN INVITO A QUALSIASI FORMA DI INVESTIMENTO. LE PERFORMANCE SONO SOLAMENTE IPOTETICHE E NON SONO GARANZIA DI RISULTATI FUTURI. L'ATTIVITA' SPECULATIVA COMPORTA ALTI RISCHI ECONOMICI E CHIUNQUE LA SVOLGA LO FA SOTTO LA PROPRIA ESCLUSIVA RESPONSABILITA', PERTANTO L'AUTORE DEL BLOG E CHIUNQUE COLLABORI CON ESSO NON SI ASSUMNO ALCUNA RESPONSABILITA' CIRCA EVENTUALI DANNI DIRETTI O INDIRETTI CIRCA LE DECISIONI DI INVESTIMENTO O NON INTRAPRESE DA CHI LEGGE.


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SILVER vs USD Daily Strategy 02-27-13

XSGSTEAM LOGOCari lettori, di seguito troverete alcuni suggerimenti presentati dai nostri partners di X-SGS Team! Assicuratevi di aver preso piena visione del nostro DISCLAIMERBuon trading e buoni investimenti!
The Article Picture
  • Daily Resistance 29,3670
  • Daily Support 28,7648

Long Scenery (Working by Trend):

  • BULL EXPANSION (Cod. BD09)
  • Conditions:
  • Waiting for a correct RSI/MA signal. In particular RSI>MA(RSI) and RSI>50, Better if MA(RSI)>50 with smaller TF.
  • Pay attention to volatility. In particular: if ATR>MA(ATR) high volatility and more risk of operation.
  • Looking for all conditions with Time Frame 1h or bigger, and open with breakage of the level with body candle (use TF smaller).
  • Pay attention to the SPREAD, this is a "Scalper" operation with a small target.
  • Position:
  • Type:                           LONG
  • Starting Price:             29,7392
  • Stop Loss:                  29,5970
  • Take Profit:                 29,8271
  • Reward/Risk:               61.8%
  • Risk for Trade: 0.5% - 2% of balance (we use 0.5%)
  • Margin Used:   max 10% of balance

__________

  • OUT SIDE BEAR PULL BACK (Cod. SD14)
  • Conditions:
  • Waiting for a correct RSI/MA signal. In particular RSI<MA(RSI).
  • Pay attention to volatility. In particular: if ATR>MA(ATR) high volatility and more risk of operation.
  • Looking for all conditions with Time Frame 1h or bigger, and open with breakage of the level with body candle (use TF smaller).
  • More important is that the price must touch or break 29,7392.
  • Position:
  • Type:                           SHORT
  • Starting Price:             29,5970
  • Stop Loss:                  29,7392
  • Take Profit:                 29,3670
  • Reward/Risk:               161.8%
  • Risk for Trade: 0.5% - 2% of balance (we use 0.5%)
  • Margin Used:               max 10% of balance

__________

  • IN SIDE BEAR PULL BACK (Cod. SD12)
  • Conditions:
  • Waiting for a correct RSI/MA signal. In particular RSI<MA(RSI)and RSI<50, Better if MA(RSI)<50 with smaller TF.
  • Pay attention to volatility. In particular: if ATR>MA(ATR) high volatility and more risk of operation.
  • Looking for all conditions with Time Frame 1h or bigger, and open with breakage of the level with body candle (use TF smaller).
  • More important is that the price must BREAK UP 29,3670.
  • Position:
  • Type:                           SHORT
  • Starting Price:             28,9948
  • Stop Loss:                  29,1370
  • Take Profit:                 28,7648
  • Reward/Risk:               161.8%
  • Risk for Trade: 0.5% - 2% of balance (we use 0.5%)
  • Margin Used:               max 10% of balance

Short Scenery (Working by Trend):

  • BEAR EXPANSION (Cod. SD10)
  • Conditions:
  • Waiting for a correct RSI/MA signal. In particular RSI<MA(RSI) and RSI<50, Better if MA(RSI)<50 with smaller TF.
  • Pay attention to volatility. In particular: if ATR>MA(ATR) high volatility and more risk of operation.
  • Looking for all conditions with Time Frame 1h or bigger, and open with breakage of the level with body candle (use TF smaller).
  • Pay attention to the SPREAD, this is a "Scalper" operation with a small target.
  • Position:
  • Type:                           SHORT
  • Starting Price:             28,3926
  • Stop Loss:                  28,5348
  • Take Profit:                 28,3047
  • Reward/Risk:               61.8%
  • Risk for Trade: 0.5% - 2% of balance (we use 0.5%)
  • Margin Used:               max 10% of balance

__________

  • OUT SIDE BULL PULL BACK (Cod. BD13)
  • Conditions:
  • Waiting for a correct RSI/MA signal. In particular RSI>MA(RSI).
  • Pay attention to volatility. In particular: if ATR>MA(ATR) high volatility and more risk of operation.
  • Looking for all conditions with Time Frame 1h or bigger, and open with breakage of the level with body candle (use TF smaller).
  • More important is that the price must touch or break 28,3926.
  • Position:
  • Type:                           LONG
  • Starting Price:             28,5348
  • Stop Loss:                  28,3926
  • Take Profit:                 28,7648
  • Reward/Risk:               161.8%
  • Risk for Trade: 0.5% - 2% of balance (we use 0.5%)
  • Margin Used:               max 10% of balance

__________

  • IN SIDE BULL PULL BACK (Cod. BD11)
  • Conditions:
  • Waiting for a correct RSI/MA signal. In particular RSI>MA(RSI)and RSI>50, Better if MA(RSI)>50 with smaller TF.
  • Pay attention to volatility. In particular: if ATR>MA(ATR) high volatility and more risk of operation.
  • Looking for all conditions with Time Frame 1h or bigger, and open with breakage of the level with body candle (use TF smaller).
  • More important is that the price must BREAK DOWN 28,7648.
  • Position:
  • Type:                           LONG
  • Starting Price:             29,1370
  • Stop Loss:                  28,9948
  • Take Profit:                 29,3670
  • Reward/Risk:               161.8%
  • Risk for Trade: 0.5% - 2% of balance (we use 0.5%)
  • Margin Used:               max 10% of balance

Working by Reversal:

  • BULL RETRACEMENT (Cod. BD15)
  • Conditions:
  • The Price must touch, or better open and close lower than, 28,7648.
  • Looking for a Strong Reversal Pattern.
  • Waiting for a correct RSI/MA signal. In particular RSI>MA(RSI) and RSI>50, Better if MA(RSI)>50 with smaller TF.
  • Pay attention to volatility. In particular: if ATR>MA(ATR) high volatility and more risk of operation.
  • Looking for all conditions with Time Frame 1h or bigger, and open with breakage of the level with body candle (use TF smaller).
  • Position:
  • Type:                           LONG
  • Starting Price:             28,9948
  • Stop Loss:                  28,7648
  • Take Profit:                 29,3670
  • Reward/Risk:               161.8%
  • Risk for Trade: 0.5% - 2% of balance (we use 0.5%)
  • Margin Used:               max 10% of balance

__________

  • BEAR RETRACEMENT (Cod. SD16)
  • Conditions:
  • The Price must touch, or better open and close higher than, 29,3670.
  • Looking for a Strong Reversal Pattern.
  • Waiting for a correct RSI/MA signal. In particular RSI<MA(RSI) and RSI<50, Better if MA(RSI)<50 with smaller TF.
  • Pay attention to volatility. In particular: if ATR>MA(ATR) high volatility and more risk of operation.
  • Looking for all conditions with Time Frame 1h or bigger, and open with breakage of the level with body candle (use TF smaller).
  • Position:
  • Type:                           SHORT
  • Starting Price:             29,1370
  • Stop Loss:                  29,3670
  • Take Profit:                 28,7648
  • Reward/Risk:               161.8%
  • Risk for Trade: 0.5% - 2% of balance (we use 0.5%)
  • Margin Used:               max 10% of balance

__________

... Read more

!ATTENZIONE!
TUTTE LE CONSIDERAZIONI, I GRAFICI E LE ANALISI CHE VERRANNO POSTATE SU QUESTO BLOG SONO FRUTTO DELL'ESPERIENZA E DEL PARERE PERSONALE DEI TRADERS DI X-SGS TEAM SAGL E SONO OFFERTE SOLO COME SPUNTO PER RIFLESSIONI PERSONALI E NON COSTITUISCONO IN ALCUNA MANIERA DIRETTA O INDIRETTA UN INVITO A QUALSIASI FORMA DI INVESTIMENTO. LE PERFORMANCE SONO SOLAMENTE IPOTETICHE E NON SONO GARANZIA DI RISULTATI FUTURI. L'ATTIVITA' SPECULATIVA COMPORTA ALTI RISCHI ECONOMICI E CHIUNQUE LA SVOLGA LO FA SOTTO LA PROPRIA ESCLUSIVA RESPONSABILITA', PERTANTO L'AUTORE DEL BLOG E CHIUNQUE COLLABORI CON ESSO NON SI ASSUMNO ALCUNA RESPONSABILITA' CIRCA EVENTUALI DANNI DIRETTI O INDIRETTI CIRCA LE DECISIONI DI INVESTIMENTO O NON INTRAPRESE DA CHI LEGGE.


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GOLD vs USD Daily Strategy 02-27-13

XSGSTEAM LOGOCari lettori, di seguito troverete alcuni suggerimenti presentati dai nostri partners di X-SGS Team! Assicuratevi di aver preso piena visione del nostro DISCLAIMERBuon trading e buoni investimenti!
The Article Picture
  • Daily Resistance 1617,47
  • Daily Support 1590,28

Long Scenery (Working by Trend):

  • BULL EXPANSION (Cod. BD09)
  • Conditions:
  • Waiting for a correct RSI/MA signal. In particular RSI>MA(RSI) and RSI>50, Better if MA(RSI)>50 with smaller TF.
  • Pay attention to volatility. In particular: if ATR>MA(ATR) high volatility and more risk of operation.
  • Looking for all conditions with Time Frame 1h or bigger, and open with breakage of the level with body candle (use TF smaller).
  • Pay attention to the SPREAD, this is a "Scalper" operation with a small target.
  • Position:
  • Type:                           LONG
  • Starting Price:             1634,27
  • Stop Loss:                  1627,86
  • Take Profit:                 1638,24
  • Reward/Risk:               61.8%
  • Risk for Trade: 0.5% - 2% of balance (we use 0.5%)
  • Margin Used:   max 10% of balance

__________

  • OUT SIDE BEAR PULL BACK (Cod. SD14)
  • Conditions:
  • Waiting for a correct RSI/MA signal. In particular RSI<MA(RSI).
  • Pay attention to volatility. In particular: if ATR>MA(ATR) high volatility and more risk of operation.
  • Looking for all conditions with Time Frame 1h or bigger, and open with breakage of the level with body candle (use TF smaller).
  • More important is that the price must touch or break 1634,27.
  • Position:
  • Type:                           SHORT
  • Starting Price:             1627,86
  • Stop Loss:                  1634,27
  • Take Profit:                 1617,47
  • Reward/Risk:               161.8%
  • Risk for Trade: 0.5% - 2% of balance (we use 0.5%)
  • Margin Used:               max 10% of balance

__________

  • IN SIDE BEAR PULL BACK (Cod. SD12)
  • Conditions:
  • Waiting for a correct RSI/MA signal. In particular RSI<MA(RSI)and RSI<50, Better if MA(RSI)<50 with smaller TF.
  • Pay attention to volatility. In particular: if ATR>MA(ATR) high volatility and more risk of operation.
  • Looking for all conditions with Time Frame 1h or bigger, and open with breakage of the level with body candle (use TF smaller).
  • More important is that the price must BREAK UP 1617,47.
  • Position:
  • Type:                           SHORT
  • Starting Price:             1600,67
  • Stop Loss:                  1607,08
  • Take Profit:                 1590,28
  • Reward/Risk:               161.8%
  • Risk for Trade: 0.5% - 2% of balance (we use 0.5%)
  • Margin Used:               max 10% of balance

Short Scenery (Working by Trend):

  • BEAR EXPANSION (Cod. SD10)
  • Conditions:
  • Waiting for a correct RSI/MA signal. In particular RSI<MA(RSI) and RSI<50, Better if MA(RSI)<50 with smaller TF.
  • Pay attention to volatility. In particular: if ATR>MA(ATR) high volatility and more risk of operation.
  • Looking for all conditions with Time Frame 1h or bigger, and open with breakage of the level with body candle (use TF smaller).
  • Pay attention to the SPREAD, this is a "Scalper" operation with a small target.
  • Position:
  • Type:                           SHORT
  • Starting Price:             1573,48
  • Stop Loss:                  1579,89
  • Take Profit:                 1569,51
  • Reward/Risk:               61.8%
  • Risk for Trade: 0.5% - 2% of balance (we use 0.5%)
  • Margin Used:               max 10% of balance

__________

  • OUT SIDE BULL PULL BACK (Cod. BD13)
  • Conditions:
  • Waiting for a correct RSI/MA signal. In particular RSI>MA(RSI).
  • Pay attention to volatility. In particular: if ATR>MA(ATR) high volatility and more risk of operation.
  • Looking for all conditions with Time Frame 1h or bigger, and open with breakage of the level with body candle (use TF smaller).
  • More important is that the price must touch or break 1573,48.
  • Position:
  • Type:                           LONG
  • Starting Price:             1579,89
  • Stop Loss:                  1573,48
  • Take Profit:                 1590,28
  • Reward/Risk:               161.8%
  • Risk for Trade: 0.5% - 2% of balance (we use 0.5%)
  • Margin Used:               max 10% of balance

__________

  • IN SIDE BULL PULL BACK (Cod. BD11)
  • Conditions:
  • Waiting for a correct RSI/MA signal. In particular RSI>MA(RSI)and RSI>50, Better if MA(RSI)>50 with smaller TF.
  • Pay attention to volatility. In particular: if ATR>MA(ATR) high volatility and more risk of operation.
  • Looking for all conditions with Time Frame 1h or bigger, and open with breakage of the level with body candle (use TF smaller).
  • More important is that the price must BREAK DOWN 1590,28.
  • Position:
  • Type:                           LONG
  • Starting Price:             1607,08
  • Stop Loss:                  1600,67
  • Take Profit:                 1617,47
  • Reward/Risk:               161.8%
  • Risk for Trade: 0.5% - 2% of balance (we use 0.5%)
  • Margin Used:               max 10% of balance

Working by Reversal:

  • BULL RETRACEMENT (Cod. BD15)
  • Conditions:
  • The Price must touch, or better open and close lower than, 1590,28.
  • Looking for a Strong Reversal Pattern.
  • Waiting for a correct RSI/MA signal. In particular RSI>MA(RSI) and RSI>50, Better if MA(RSI)>50 with smaller TF.
  • Pay attention to volatility. In particular: if ATR>MA(ATR) high volatility and more risk of operation.
  • Looking for all conditions with Time Frame 1h or bigger, and open with breakage of the level with body candle (use TF smaller).
  • Position:
  • Type:                           LONG
  • Starting Price:             1600,67
  • Stop Loss:                  1590,28
  • Take Profit:                 1617,47
  • Reward/Risk:               161.8%
  • Risk for Trade: 0.5% - 2% of balance (we use 0.5%)
  • Margin Used:               max 10% of balance

__________

  • BEAR RETRACEMENT (Cod. SD16)
  • Conditions:
  • The Price must touch, or better open and close higher than, 1617,47.
  • Looking for a Strong Reversal Pattern.
  • Waiting for a correct RSI/MA signal. In particular RSI<MA(RSI) and RSI<50, Better if MA(RSI)<50 with smaller TF.
  • Pay attention to volatility. In particular: if ATR>MA(ATR) high volatility and more risk of operation.
  • Looking for all conditions with Time Frame 1h or bigger, and open with breakage of the level with body candle (use TF smaller).
  • Position:
  • Type:                           SHORT
  • Starting Price:             1607,08
  • Stop Loss:                  1617,47
  • Take Profit:                 1590,28
  • Reward/Risk:               161.8%
  • Risk for Trade: 0.5% - 2% of balance (we use 0.5%)
  • Margin Used:               max 10% of balance

__________

... Read more

!ATTENZIONE!
TUTTE LE CONSIDERAZIONI, I GRAFICI E LE ANALISI CHE VERRANNO POSTATE SU QUESTO BLOG SONO FRUTTO DELL'ESPERIENZA E DEL PARERE PERSONALE DEI TRADERS DI X-SGS TEAM SAGL E SONO OFFERTE SOLO COME SPUNTO PER RIFLESSIONI PERSONALI E NON COSTITUISCONO IN ALCUNA MANIERA DIRETTA O INDIRETTA UN INVITO A QUALSIASI FORMA DI INVESTIMENTO. LE PERFORMANCE SONO SOLAMENTE IPOTETICHE E NON SONO GARANZIA DI RISULTATI FUTURI. L'ATTIVITA' SPECULATIVA COMPORTA ALTI RISCHI ECONOMICI E CHIUNQUE LA SVOLGA LO FA SOTTO LA PROPRIA ESCLUSIVA RESPONSABILITA', PERTANTO L'AUTORE DEL BLOG E CHIUNQUE COLLABORI CON ESSO NON SI ASSUMNO ALCUNA RESPONSABILITA' CIRCA EVENTUALI DANNI DIRETTI O INDIRETTI CIRCA LE DECISIONI DI INVESTIMENTO O NON INTRAPRESE DA CHI LEGGE.


Se ti è piaciuto l' articolo... condividilo!
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AUDUSD Daily Strategy 02-27-13

XSGSTEAM LOGOCari lettori, di seguito troverete alcuni suggerimenti presentati dai nostri partners di X-SGS Team! Assicuratevi di aver preso piena visione del nostro DISCLAIMERBuon trading e buoni investimenti!
The Article Picture
  • Daily Resistance 1,02837
  • Daily Support 1,02059

Long Scenery (Working by Trend):

  • BULL EXPANSION (Cod. BD09)
  • Conditions:
  • Waiting for a correct RSI/MA signal. In particular RSI>MA(RSI) and RSI>50, Better if MA(RSI)>50 with smaller TF.
  • Pay attention to volatility. In particular: if ATR>MA(ATR) high volatility and more risk of operation.
  • Looking for all conditions with Time Frame 1h or bigger, and open with breakage of the level with body candle (use TF smaller).
  • Pay attention to the SPREAD, this is a "Scalper" operation with a small target.
  • Position:
  • Type:                           LONG
  • Starting Price:             1,03318
  • Stop Loss:                  1,03134
  • Take Profit:                 1,03431
  • Reward/Risk:               61.8%
  • Risk for Trade: 0.5% - 2% of balance (we use 0.5%)
  • Margin Used:   max 10% of balance

__________

  • OUT SIDE BEAR PULL BACK (Cod. SD14)
  • Conditions:
  • Waiting for a correct RSI/MA signal. In particular RSI<MA(RSI).
  • Pay attention to volatility. In particular: if ATR>MA(ATR) high volatility and more risk of operation.
  • Looking for all conditions with Time Frame 1h or bigger, and open with breakage of the level with body candle (use TF smaller).
  • More important is that the price must touch or break 1,03318.
  • Position:
  • Type:                           SHORT
  • Starting Price:             1,03134
  • Stop Loss:                  1,03318
  • Take Profit:                 1,02837
  • Reward/Risk:               161.8%
  • Risk for Trade: 0.5% - 2% of balance (we use 0.5%)
  • Margin Used:               max 10% of balance

__________

  • IN SIDE BEAR PULL BACK (Cod. SD12)
  • Conditions:
  • Waiting for a correct RSI/MA signal. In particular RSI<MA(RSI)and RSI<50, Better if MA(RSI)<50 with smaller TF.
  • Pay attention to volatility. In particular: if ATR>MA(ATR) high volatility and more risk of operation.
  • Looking for all conditions with Time Frame 1h or bigger, and open with breakage of the level with body candle (use TF smaller).
  • More important is that the price must BREAK UP 1,02837.
  • Position:
  • Type:                           SHORT
  • Starting Price:             1,02356
  • Stop Loss:                  1,02540
  • Take Profit:                 1,02059
  • Reward/Risk:               161.8%
  • Risk for Trade: 0.5% - 2% of balance (we use 0.5%)
  • Margin Used:               max 10% of balance

Short Scenery (Working by Trend):

  • BEAR EXPANSION (Cod. SD10)
  • Conditions:
  • Waiting for a correct RSI/MA signal. In particular RSI<MA(RSI) and RSI<50, Better if MA(RSI)<50 with smaller TF.
  • Pay attention to volatility. In particular: if ATR>MA(ATR) high volatility and more risk of operation.
  • Looking for all conditions with Time Frame 1h or bigger, and open with breakage of the level with body candle (use TF smaller).
  • Pay attention to the SPREAD, this is a "Scalper" operation with a small target.
  • Position:
  • Type:                           SHORT
  • Starting Price:             1,01578
  • Stop Loss:                  1,01762
  • Take Profit:                 1,01465
  • Reward/Risk:               61.8%
  • Risk for Trade: 0.5% - 2% of balance (we use 0.5%)
  • Margin Used:               max 10% of balance

__________

  • OUT SIDE BULL PULL BACK (Cod. BD13)
  • Conditions:
  • Waiting for a correct RSI/MA signal. In particular RSI>MA(RSI).
  • Pay attention to volatility. In particular: if ATR>MA(ATR) high volatility and more risk of operation.
  • Looking for all conditions with Time Frame 1h or bigger, and open with breakage of the level with body candle (use TF smaller).
  • More important is that the price must touch or break 1,01578.
  • Position:
  • Type:                           LONG
  • Starting Price:             1,01762
  • Stop Loss:                  1,01578
  • Take Profit:                 1,02059
  • Reward/Risk:               161.8%
  • Risk for Trade: 0.5% - 2% of balance (we use 0.5%)
  • Margin Used:               max 10% of balance

__________

  • IN SIDE BULL PULL BACK (Cod. BD11)
  • Conditions:
  • Waiting for a correct RSI/MA signal. In particular RSI>MA(RSI)and RSI>50, Better if MA(RSI)>50 with smaller TF.
  • Pay attention to volatility. In particular: if ATR>MA(ATR) high volatility and more risk of operation.
  • Looking for all conditions with Time Frame 1h or bigger, and open with breakage of the level with body candle (use TF smaller).
  • More important is that the price must BREAK DOWN 1,02059.
  • Position:
  • Type:                           LONG
  • Starting Price:             1,02540
  • Stop Loss:                  1,02356
  • Take Profit:                 1,02837
  • Reward/Risk:               161.8%
  • Risk for Trade: 0.5% - 2% of balance (we use 0.5%)
  • Margin Used:               max 10% of balance

Working by Reversal:

  • BULL RETRACEMENT (Cod. BD15)
  • Conditions:
  • The Price must touch, or better open and close lower than, 1,02059.
  • Looking for a Strong Reversal Pattern.
  • Waiting for a correct RSI/MA signal. In particular RSI>MA(RSI) and RSI>50, Better if MA(RSI)>50 with smaller TF.
  • Pay attention to volatility. In particular: if ATR>MA(ATR) high volatility and more risk of operation.
  • Looking for all conditions with Time Frame 1h or bigger, and open with breakage of the level with body candle (use TF smaller).
  • Position:
  • Type:                           LONG
  • Starting Price:             1,02356
  • Stop Loss:                  1,02059
  • Take Profit:                 1,02837
  • Reward/Risk:               161.8%
  • Risk for Trade: 0.5% - 2% of balance (we use 0.5%)
  • Margin Used:               max 10% of balance

__________

  • BEAR RETRACEMENT (Cod. SD16)
  • Conditions:
  • The Price must touch, or better open and close higher than, 1,02837.
  • Looking for a Strong Reversal Pattern.
  • Waiting for a correct RSI/MA signal. In particular RSI<MA(RSI) and RSI<50, Better if MA(RSI)<50 with smaller TF.
  • Pay attention to volatility. In particular: if ATR>MA(ATR) high volatility and more risk of operation.
  • Looking for all conditions with Time Frame 1h or bigger, and open with breakage of the level with body candle (use TF smaller).
  • Position:
  • Type:                           SHORT
  • Starting Price:             1,02540
  • Stop Loss:                  1,02837
  • Take Profit:                 1,02059
  • Reward/Risk:               161.8%
  • Risk for Trade: 0.5% - 2% of balance (we use 0.5%)
  • Margin Used:               max 10% of balance

__________

... Read more

!ATTENZIONE!
TUTTE LE CONSIDERAZIONI, I GRAFICI E LE ANALISI CHE VERRANNO POSTATE SU QUESTO BLOG SONO FRUTTO DELL'ESPERIENZA E DEL PARERE PERSONALE DEI TRADERS DI X-SGS TEAM SAGL E SONO OFFERTE SOLO COME SPUNTO PER RIFLESSIONI PERSONALI E NON COSTITUISCONO IN ALCUNA MANIERA DIRETTA O INDIRETTA UN INVITO A QUALSIASI FORMA DI INVESTIMENTO. LE PERFORMANCE SONO SOLAMENTE IPOTETICHE E NON SONO GARANZIA DI RISULTATI FUTURI. L'ATTIVITA' SPECULATIVA COMPORTA ALTI RISCHI ECONOMICI E CHIUNQUE LA SVOLGA LO FA SOTTO LA PROPRIA ESCLUSIVA RESPONSABILITA', PERTANTO L'AUTORE DEL BLOG E CHIUNQUE COLLABORI CON ESSO NON SI ASSUMNO ALCUNA RESPONSABILITA' CIRCA EVENTUALI DANNI DIRETTI O INDIRETTI CIRCA LE DECISIONI DI INVESTIMENTO O NON INTRAPRESE DA CHI LEGGE.


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Performance of the day 02-25-13

XSGSTEAM LOGOCari lettori, di seguito troverete alcuni suggerimenti presentati dai nostri partners di X-SGS Team! Assicuratevi di aver preso piena visione del nostro DISCLAIMERBuon trading e buoni investimenti!
The Article Picture
To know the meaning of the operation codes, read the free daily reports and subscribe the website www.xsgs-team.com.
Inst. Data Cod. Start Target Stop Result Profit. Complessive
AUDUSD 02-25-13 BD11 1,03066 1,03283 1,02931 Loss -1,301% 158,985%
AUDUSD 02-25-13 BD15 1,02931 1,03283 1,02714 Loss -1,301% 157,684%
EURGBP 02-22-13 BD15 0,86790 0,87396 0,86415 Profit 2,704% 160,388%
EURGBP 02-25-13 BD09 0,87429 0,87545 0,87243 Profit 0,761% 161,149%
EURGBP 02-25-13 SD14 0,87243 0,86940 0,87429 Profit 1,993% 163,142%
EURGBP 02-25-13 SD16 0,86637 0,86148 0,86940 Profit 2,036% 165,178%
EURGBP 02-25-13 SD12 0,86451 0,86148 0,86637 Profit 1,993% 167,170%
EURJPY 02-25-13 SD14 123,762 123,452 123,953 Profit 1,859% 169,030%
EURJPY 02-25-13 SD12 122,951 122,641 123,142 Profit 1,859% 170,889%
EURJPY 02-25-13 SD16 123,142 122,641 123,452 Profit 1,902% 172,791%
EURJPY 02-25-13 SD10 122,140 122,021 122,331 Profit 0,710% 173,502%
EURUSD 02-25-13 BD09 1,32602 1,32697 1,32449 Profit 0,741% 174,243%
EURUSD 02-25-13 SD14 1,32449 1,32201 1,32602 Profit 1,941% 176,183%
EURUSD 02-25-13 SD12 1,31800 1,31552 1,31953 Profit 1,941% 178,124%
EURUSD 02-25-13 SD16 1,31953 1,31552 1,32201 Profit 2,021% 180,145%
EURUSD 02-25-13 SD10 1,31151 1,31056 1,31304 Profit 0,741% 180,886%
GBPJPY 02-25-13 SD16 142,341 141,640 142,775 Profit 1,887% 182,773%
GBPJPY 02-25-13 SD10 140,939 140,773 141,206 Profit 0,669% 183,442%
GBPUSD 02-22-13 SD12 1,51903 1,51470 1,52171 Profit 4,306% 187,748%
GBPUSD 02-22-13 SD16 1,52171 1,51470 1,52604 Profit 3,429% 191,177%
GBPUSD 02-25-13 BD13 1,51099 1,51619 1,50777 Profit 2,007% 193,184%
USDCHF 02-25-13 SD10 0,92656 0,92603 0,92742 Profit 0,645% 193,829%
USDCHF 02-25-13 BD13 0,92742 0,92880 0,92656 Profit 1,689% 195,519%
USDCHF 02-25-13 BD11 0,93104 0,93242 0,93018 Profit 1,689% 197,208%
USDCHF 02-25-13 BD15 0,93018 0,93242 0,92880 Profit 1,846% 199,055%
EURGBP 02-25-13 SW04 0,86635 0,86065 0,86986 Profit 2,016% 201,070%
EURGBP 02-25-13 SW08 0,86986 0,86065 0,87556 Profit 2,050% 203,121%
EURJPY 02-25-13 SW02 120,366 119,885 121,142 Profit 0,768% 203,889%
GBPJPY 02-25-13 SW02 138,873 138,252 139,877 Profit 0,760% 204,649%
USDJPY 02-25-13 SW04 93,346 92,859 93,647 Profit 1,987% 206,636%
USDJPY 02-25-13 SW08 93,647 92,859 94,134 Profit 2,095% 208,731%
USDJPY 02-25-13 SW02 92,071 91,885 92,372 Profit 0,759% 209,490%
... Read more

!ATTENZIONE!
TUTTE LE CONSIDERAZIONI, I GRAFICI E LE ANALISI CHE VERRANNO POSTATE SU QUESTO BLOG SONO FRUTTO DELL'ESPERIENZA E DEL PARERE PERSONALE DEI TRADERS DI X-SGS TEAM SAGL E SONO OFFERTE SOLO COME SPUNTO PER RIFLESSIONI PERSONALI E NON COSTITUISCONO IN ALCUNA MANIERA DIRETTA O INDIRETTA UN INVITO A QUALSIASI FORMA DI INVESTIMENTO. LE PERFORMANCE SONO SOLAMENTE IPOTETICHE E NON SONO GARANZIA DI RISULTATI FUTURI. L'ATTIVITA' SPECULATIVA COMPORTA ALTI RISCHI ECONOMICI E CHIUNQUE LA SVOLGA LO FA SOTTO LA PROPRIA ESCLUSIVA RESPONSABILITA', PERTANTO L'AUTORE DEL BLOG E CHIUNQUE COLLABORI CON ESSO NON SI ASSUMNO ALCUNA RESPONSABILITA' CIRCA EVENTUALI DANNI DIRETTI O INDIRETTI CIRCA LE DECISIONI DI INVESTIMENTO O NON INTRAPRESE DA CHI LEGGE.


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Performance of the day 02-22-13

XSGSTEAM LOGOCari lettori, di seguito troverete alcuni suggerimenti presentati dai nostri partners di X-SGS Team! Assicuratevi di aver preso piena visione del nostro DISCLAIMERBuon trading e buoni investimenti!
The Article Picture
To know the meaning of the operation codes, read the free daily reports and subscribe the website www.xsgs-team.com.
Inst. Data Cod. Start Target Stop Result Profit. Complessive
GBPJPY 02-22-13 SD16 142,340 141,480 142,871 Profit 1,784% 160,287%
... Read more

!ATTENZIONE!
TUTTE LE CONSIDERAZIONI, I GRAFICI E LE ANALISI CHE VERRANNO POSTATE SU QUESTO BLOG SONO FRUTTO DELL'ESPERIENZA E DEL PARERE PERSONALE DEI TRADERS DI X-SGS TEAM SAGL E SONO OFFERTE SOLO COME SPUNTO PER RIFLESSIONI PERSONALI E NON COSTITUISCONO IN ALCUNA MANIERA DIRETTA O INDIRETTA UN INVITO A QUALSIASI FORMA DI INVESTIMENTO. LE PERFORMANCE SONO SOLAMENTE IPOTETICHE E NON SONO GARANZIA DI RISULTATI FUTURI. L'ATTIVITA' SPECULATIVA COMPORTA ALTI RISCHI ECONOMICI E CHIUNQUE LA SVOLGA LO FA SOTTO LA PROPRIA ESCLUSIVA RESPONSABILITA', PERTANTO L'AUTORE DEL BLOG E CHIUNQUE COLLABORI CON ESSO NON SI ASSUMNO ALCUNA RESPONSABILITA' CIRCA EVENTUALI DANNI DIRETTI O INDIRETTI CIRCA LE DECISIONI DI INVESTIMENTO O NON INTRAPRESE DA CHI LEGGE.


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GOLD vs USD Daily Strategy 02-25-13

XSGSTEAM LOGOCari lettori, di seguito troverete alcuni suggerimenti presentati dai nostri partners di X-SGS Team! Assicuratevi di aver preso piena visione del nostro DISCLAIMERBuon trading e buoni investimenti!
The Article Picture
  • Daily Resistance 1586,10
  • Daily Support 1571,30

Long Scenery (Working by Trend):

  • BULL EXPANSION (Cod. BD09)
  • Conditions:
  • Waiting for a correct RSI/MA signal. In particular RSI>MA(RSI) and RSI>50, Better if MA(RSI)>50 with smaller TF.
  • Pay attention to volatility. In particular: if ATR>MA(ATR) high volatility and more risk of operation.
  • Looking for all conditions with Time Frame 1h or bigger, and open with breakage of the level with body candle (use TF smaller).
  • Pay attention to the SPREAD, this is a "Scalper" operation with a small target.
  • Position:
  • Type:                           LONG
  • Starting Price:             1595,25
  • Stop Loss:                  1591,75
  • Take Profit:                 1597,41
  • Reward/Risk:               61.8%
  • Risk for Trade: 0.5% - 2% of balance (we use 0.5%)
  • Margin Used:   max 10% of balance

__________

  • OUT SIDE BEAR PULL BACK (Cod. SD14)
  • Conditions:
  • Waiting for a correct RSI/MA signal. In particular RSI<MA(RSI).
  • Pay attention to volatility. In particular: if ATR>MA(ATR) high volatility and more risk of operation.
  • Looking for all conditions with Time Frame 1h or bigger, and open with breakage of the level with body candle (use TF smaller).
  • More important is that the price must touch or break 1595,25.
  • Position:
  • Type:                           SHORT
  • Starting Price:             1591,75
  • Stop Loss:                  1595,25
  • Take Profit:                 1586,10
  • Reward/Risk:               161.8%
  • Risk for Trade: 0.5% - 2% of balance (we use 0.5%)
  • Margin Used:               max 10% of balance

__________

  • IN SIDE BEAR PULL BACK (Cod. SD12)
  • Conditions:
  • Waiting for a correct RSI/MA signal. In particular RSI<MA(RSI)and RSI<50, Better if MA(RSI)<50 with smaller TF.
  • Pay attention to volatility. In particular: if ATR>MA(ATR) high volatility and more risk of operation.
  • Looking for all conditions with Time Frame 1h or bigger, and open with breakage of the level with body candle (use TF smaller).
  • More important is that the price must BREAK UP 1586,10.
  • Position:
  • Type:                           SHORT
  • Starting Price:             1576,95
  • Stop Loss:                  1580,45
  • Take Profit:                 1571,30
  • Reward/Risk:               161.8%
  • Risk for Trade: 0.5% - 2% of balance (we use 0.5%)
  • Margin Used:               max 10% of balance

Short Scenery (Working by Trend):

  • BEAR EXPANSION (Cod. SD10)
  • Conditions:
  • Waiting for a correct RSI/MA signal. In particular RSI<MA(RSI) and RSI<50, Better if MA(RSI)<50 with smaller TF.
  • Pay attention to volatility. In particular: if ATR>MA(ATR) high volatility and more risk of operation.
  • Looking for all conditions with Time Frame 1h or bigger, and open with breakage of the level with body candle (use TF smaller).
  • Pay attention to the SPREAD, this is a "Scalper" operation with a small target.
  • Position:
  • Type:                           SHORT
  • Starting Price:             1562,15
  • Stop Loss:                  1565,65
  • Take Profit:                 1559,99
  • Reward/Risk:               61.8%
  • Risk for Trade: 0.5% - 2% of balance (we use 0.5%)
  • Margin Used:               max 10% of balance

__________

  • OUT SIDE BULL PULL BACK (Cod. BD13)
  • Conditions:
  • Waiting for a correct RSI/MA signal. In particular RSI>MA(RSI).
  • Pay attention to volatility. In particular: if ATR>MA(ATR) high volatility and more risk of operation.
  • Looking for all conditions with Time Frame 1h or bigger, and open with breakage of the level with body candle (use TF smaller).
  • More important is that the price must touch or break 1562,15.
  • Position:
  • Type:                           LONG
  • Starting Price:             1565,65
  • Stop Loss:                  1562,15
  • Take Profit:                 1571,30
  • Reward/Risk:               161.8%
  • Risk for Trade: 0.5% - 2% of balance (we use 0.5%)
  • Margin Used:               max 10% of balance

__________

  • IN SIDE BULL PULL BACK (Cod. BD11)
  • Conditions:
  • Waiting for a correct RSI/MA signal. In particular RSI>MA(RSI)and RSI>50, Better if MA(RSI)>50 with smaller TF.
  • Pay attention to volatility. In particular: if ATR>MA(ATR) high volatility and more risk of operation.
  • Looking for all conditions with Time Frame 1h or bigger, and open with breakage of the level with body candle (use TF smaller).
  • More important is that the price must BREAK DOWN 1571,30.
  • Position:
  • Type:                           LONG
  • Starting Price:             1580,45
  • Stop Loss:                  1576,95
  • Take Profit:                 1586,10
  • Reward/Risk:               161.8%
  • Risk for Trade: 0.5% - 2% of balance (we use 0.5%)
  • Margin Used:               max 10% of balance

Working by Reversal:

  • BULL RETRACEMENT (Cod. BD15)
  • Conditions:
  • The Price must touch, or better open and close lower than, 1571,30.
  • Looking for a Strong Reversal Pattern.
  • Waiting for a correct RSI/MA signal. In particular RSI>MA(RSI) and RSI>50, Better if MA(RSI)>50 with smaller TF.
  • Pay attention to volatility. In particular: if ATR>MA(ATR) high volatility and more risk of operation.
  • Looking for all conditions with Time Frame 1h or bigger, and open with breakage of the level with body candle (use TF smaller).
  • Position:
  • Type:                           LONG
  • Starting Price:             1576,95
  • Stop Loss:                  1571,30
  • Take Profit:                 1586,10
  • Reward/Risk:               161.8%
  • Risk for Trade: 0.5% - 2% of balance (we use 0.5%)
  • Margin Used:               max 10% of balance

__________

  • BEAR RETRACEMENT (Cod. SD16)
  • Conditions:
  • The Price must touch, or better open and close higher than, 1586,10.
  • Looking for a Strong Reversal Pattern.
  • Waiting for a correct RSI/MA signal. In particular RSI<MA(RSI) and RSI<50, Better if MA(RSI)<50 with smaller TF.
  • Pay attention to volatility. In particular: if ATR>MA(ATR) high volatility and more risk of operation.
  • Looking for all conditions with Time Frame 1h or bigger, and open with breakage of the level with body candle (use TF smaller).
  • Position:
  • Type:                           SHORT
  • Starting Price:             1580,45
  • Stop Loss:                  1586,10
  • Take Profit:                 1571,30
  • Reward/Risk:               161.8%
  • Risk for Trade: 0.5% - 2% of balance (we use 0.5%)
  • Margin Used:               max 10% of balance

__________

... Read more

!ATTENZIONE!
TUTTE LE CONSIDERAZIONI, I GRAFICI E LE ANALISI CHE VERRANNO POSTATE SU QUESTO BLOG SONO FRUTTO DELL'ESPERIENZA E DEL PARERE PERSONALE DEI TRADERS DI X-SGS TEAM SAGL E SONO OFFERTE SOLO COME SPUNTO PER RIFLESSIONI PERSONALI E NON COSTITUISCONO IN ALCUNA MANIERA DIRETTA O INDIRETTA UN INVITO A QUALSIASI FORMA DI INVESTIMENTO. LE PERFORMANCE SONO SOLAMENTE IPOTETICHE E NON SONO GARANZIA DI RISULTATI FUTURI. L'ATTIVITA' SPECULATIVA COMPORTA ALTI RISCHI ECONOMICI E CHIUNQUE LA SVOLGA LO FA SOTTO LA PROPRIA ESCLUSIVA RESPONSABILITA', PERTANTO L'AUTORE DEL BLOG E CHIUNQUE COLLABORI CON ESSO NON SI ASSUMNO ALCUNA RESPONSABILITA' CIRCA EVENTUALI DANNI DIRETTI O INDIRETTI CIRCA LE DECISIONI DI INVESTIMENTO O NON INTRAPRESE DA CHI LEGGE.


Se ti è piaciuto l' articolo... condividilo!
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USDCHF Daily Strategy 02-25-13

XSGSTEAM LOGOCari lettori, di seguito troverete alcuni suggerimenti presentati dai nostri partners di X-SGS Team! Assicuratevi di aver preso piena visione del nostro DISCLAIMERBuon trading e buoni investimenti!
The Article Picture
  • Daily Resistance 0,93242
  • Daily Support 0,92880

Long Scenery (Working by Trend):

  • BULL EXPANSION (Cod. BD09)
  • Conditions:
  • Waiting for a correct RSI/MA signal. In particular RSI>MA(RSI) and RSI>50, Better if MA(RSI)>50 with smaller TF.
  • Pay attention to volatility. In particular: if ATR>MA(ATR) high volatility and more risk of operation.
  • Looking for all conditions with Time Frame 1h or bigger, and open with breakage of the level with body candle (use TF smaller).
  • Pay attention to the SPREAD, this is a "Scalper" operation with a small target.
  • Position:
  • Type:                           LONG
  • Starting Price:             0,93466
  • Stop Loss:                  0,93380
  • Take Profit:                 0,93519
  • Reward/Risk:               61.8%
  • Risk for Trade: 0.5% - 2% of balance (we use 0.5%)
  • Margin Used:   max 10% of balance

__________

  • OUT SIDE BEAR PULL BACK (Cod. SD14)
  • Conditions:
  • Waiting for a correct RSI/MA signal. In particular RSI<MA(RSI).
  • Pay attention to volatility. In particular: if ATR>MA(ATR) high volatility and more risk of operation.
  • Looking for all conditions with Time Frame 1h or bigger, and open with breakage of the level with body candle (use TF smaller).
  • More important is that the price must touch or break 0,93466.
  • Position:
  • Type:                           SHORT
  • Starting Price:             0,93380
  • Stop Loss:                  0,93466
  • Take Profit:                 0,93242
  • Reward/Risk:               161.8%
  • Risk for Trade: 0.5% - 2% of balance (we use 0.5%)
  • Margin Used:               max 10% of balance

__________

  • IN SIDE BEAR PULL BACK (Cod. SD12)
  • Conditions:
  • Waiting for a correct RSI/MA signal. In particular RSI<MA(RSI)and RSI<50, Better if MA(RSI)<50 with smaller TF.
  • Pay attention to volatility. In particular: if ATR>MA(ATR) high volatility and more risk of operation.
  • Looking for all conditions with Time Frame 1h or bigger, and open with breakage of the level with body candle (use TF smaller).
  • More important is that the price must BREAK UP 0,93242.
  • Position:
  • Type:                           SHORT
  • Starting Price:             0,93018
  • Stop Loss:                  0,93104
  • Take Profit:                 0,92880
  • Reward/Risk:               161.8%
  • Risk for Trade: 0.5% - 2% of balance (we use 0.5%)
  • Margin Used:               max 10% of balance

Short Scenery (Working by Trend):

  • BEAR EXPANSION (Cod. SD10)
  • Conditions:
  • Waiting for a correct RSI/MA signal. In particular RSI<MA(RSI) and RSI<50, Better if MA(RSI)<50 with smaller TF.
  • Pay attention to volatility. In particular: if ATR>MA(ATR) high volatility and more risk of operation.
  • Looking for all conditions with Time Frame 1h or bigger, and open with breakage of the level with body candle (use TF smaller).
  • Pay attention to the SPREAD, this is a "Scalper" operation with a small target.
  • Position:
  • Type:                           SHORT
  • Starting Price:             0,92656
  • Stop Loss:                  0,92742
  • Take Profit:                 0,92603
  • Reward/Risk:               61.8%
  • Risk for Trade: 0.5% - 2% of balance (we use 0.5%)
  • Margin Used:               max 10% of balance

__________

  • OUT SIDE BULL PULL BACK (Cod. BD13)
  • Conditions:
  • Waiting for a correct RSI/MA signal. In particular RSI>MA(RSI).
  • Pay attention to volatility. In particular: if ATR>MA(ATR) high volatility and more risk of operation.
  • Looking for all conditions with Time Frame 1h or bigger, and open with breakage of the level with body candle (use TF smaller).
  • More important is that the price must touch or break 0,92656.
  • Position:
  • Type:                           LONG
  • Starting Price:             0,92742
  • Stop Loss:                  0,92656
  • Take Profit:                 0,92880
  • Reward/Risk:               161.8%
  • Risk for Trade: 0.5% - 2% of balance (we use 0.5%)
  • Margin Used:               max 10% of balance

__________

  • IN SIDE BULL PULL BACK (Cod. BD11)
  • Conditions:
  • Waiting for a correct RSI/MA signal. In particular RSI>MA(RSI)and RSI>50, Better if MA(RSI)>50 with smaller TF.
  • Pay attention to volatility. In particular: if ATR>MA(ATR) high volatility and more risk of operation.
  • Looking for all conditions with Time Frame 1h or bigger, and open with breakage of the level with body candle (use TF smaller).
  • More important is that the price must BREAK DOWN 0,92880.
  • Position:
  • Type:                           LONG
  • Starting Price:             0,93104
  • Stop Loss:                  0,93018
  • Take Profit:                 0,93242
  • Reward/Risk:               161.8%
  • Risk for Trade: 0.5% - 2% of balance (we use 0.5%)
  • Margin Used:               max 10% of balance

Working by Reversal:

  • BULL RETRACEMENT (Cod. BD15)
  • Conditions:
  • The Price must touch, or better open and close lower than, 0,92880.
  • Looking for a Strong Reversal Pattern.
  • Waiting for a correct RSI/MA signal. In particular RSI>MA(RSI) and RSI>50, Better if MA(RSI)>50 with smaller TF.
  • Pay attention to volatility. In particular: if ATR>MA(ATR) high volatility and more risk of operation.
  • Looking for all conditions with Time Frame 1h or bigger, and open with breakage of the level with body candle (use TF smaller).
  • Position:
  • Type:                           LONG
  • Starting Price:             0,93018
  • Stop Loss:                  0,92880
  • Take Profit:                 0,93242
  • Reward/Risk:               161.8%
  • Risk for Trade: 0.5% - 2% of balance (we use 0.5%)
  • Margin Used:               max 10% of balance

__________

  • BEAR RETRACEMENT (Cod. SD16)
  • Conditions:
  • The Price must touch, or better open and close higher than, 0,93242.
  • Looking for a Strong Reversal Pattern.
  • Waiting for a correct RSI/MA signal. In particular RSI<MA(RSI) and RSI<50, Better if MA(RSI)<50 with smaller TF.
  • Pay attention to volatility. In particular: if ATR>MA(ATR) high volatility and more risk of operation.
  • Looking for all conditions with Time Frame 1h or bigger, and open with breakage of the level with body candle (use TF smaller).
  • Position:
  • Type:                           SHORT
  • Starting Price:             0,93104
  • Stop Loss:                  0,93242
  • Take Profit:                 0,92880
  • Reward/Risk:               161.8%
  • Risk for Trade: 0.5% - 2% of balance (we use 0.5%)
  • Margin Used:               max 10% of balance

__________

... Read more

!ATTENZIONE!
TUTTE LE CONSIDERAZIONI, I GRAFICI E LE ANALISI CHE VERRANNO POSTATE SU QUESTO BLOG SONO FRUTTO DELL'ESPERIENZA E DEL PARERE PERSONALE DEI TRADERS DI X-SGS TEAM SAGL E SONO OFFERTE SOLO COME SPUNTO PER RIFLESSIONI PERSONALI E NON COSTITUISCONO IN ALCUNA MANIERA DIRETTA O INDIRETTA UN INVITO A QUALSIASI FORMA DI INVESTIMENTO. LE PERFORMANCE SONO SOLAMENTE IPOTETICHE E NON SONO GARANZIA DI RISULTATI FUTURI. L'ATTIVITA' SPECULATIVA COMPORTA ALTI RISCHI ECONOMICI E CHIUNQUE LA SVOLGA LO FA SOTTO LA PROPRIA ESCLUSIVA RESPONSABILITA', PERTANTO L'AUTORE DEL BLOG E CHIUNQUE COLLABORI CON ESSO NON SI ASSUMNO ALCUNA RESPONSABILITA' CIRCA EVENTUALI DANNI DIRETTI O INDIRETTI CIRCA LE DECISIONI DI INVESTIMENTO O NON INTRAPRESE DA CHI LEGGE.


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GBPJPY Daily Strategy 02-25-13

XSGSTEAM LOGOCari lettori, di seguito troverete alcuni suggerimenti presentati dai nostri partners di X-SGS Team! Assicuratevi di aver preso piena visione del nostro DISCLAIMERBuon trading e buoni investimenti!
The Article Picture
  • Daily Resistance 142,775
  • Daily Support 141,640

Long Scenery (Working by Trend):

  • BULL EXPANSION (Cod. BD09)
  • Conditions:
  • Waiting for a correct RSI/MA signal. In particular RSI>MA(RSI) and RSI>50, Better if MA(RSI)>50 with smaller TF.
  • Pay attention to volatility. In particular: if ATR>MA(ATR) high volatility and more risk of operation.
  • Looking for all conditions with Time Frame 1h or bigger, and open with breakage of the level with body candle (use TF smaller).
  • Pay attention to the SPREAD, this is a "Scalper" operation with a small target.
  • Position:
  • Type:                           LONG
  • Starting Price:             143,476
  • Stop Loss:                  143,209
  • Take Profit:                 143,642
  • Reward/Risk:               61.8%
  • Risk for Trade: 0.5% - 2% of balance (we use 0.5%)
  • Margin Used:   max 10% of balance

__________

  • OUT SIDE BEAR PULL BACK (Cod. SD14)
  • Conditions:
  • Waiting for a correct RSI/MA signal. In particular RSI<MA(RSI).
  • Pay attention to volatility. In particular: if ATR>MA(ATR) high volatility and more risk of operation.
  • Looking for all conditions with Time Frame 1h or bigger, and open with breakage of the level with body candle (use TF smaller).
  • More important is that the price must touch or break 143,476.
  • Position:
  • Type:                           SHORT
  • Starting Price:             143,209
  • Stop Loss:                  143,476
  • Take Profit:                 142,775
  • Reward/Risk:               161.8%
  • Risk for Trade: 0.5% - 2% of balance (we use 0.5%)
  • Margin Used:               max 10% of balance

__________

  • IN SIDE BEAR PULL BACK (Cod. SD12)
  • Conditions:
  • Waiting for a correct RSI/MA signal. In particular RSI<MA(RSI)and RSI<50, Better if MA(RSI)<50 with smaller TF.
  • Pay attention to volatility. In particular: if ATR>MA(ATR) high volatility and more risk of operation.
  • Looking for all conditions with Time Frame 1h or bigger, and open with breakage of the level with body candle (use TF smaller).
  • More important is that the price must BREAK UP 142,775.
  • Position:
  • Type:                           SHORT
  • Starting Price:             142,074
  • Stop Loss:                  142,341
  • Take Profit:                 141,640
  • Reward/Risk:               161.8%
  • Risk for Trade: 0.5% - 2% of balance (we use 0.5%)
  • Margin Used:               max 10% of balance

Short Scenery (Working by Trend):

  • BEAR EXPANSION (Cod. SD10)
  • Conditions:
  • Waiting for a correct RSI/MA signal. In particular RSI<MA(RSI) and RSI<50, Better if MA(RSI)<50 with smaller TF.
  • Pay attention to volatility. In particular: if ATR>MA(ATR) high volatility and more risk of operation.
  • Looking for all conditions with Time Frame 1h or bigger, and open with breakage of the level with body candle (use TF smaller).
  • Pay attention to the SPREAD, this is a "Scalper" operation with a small target.
  • Position:
  • Type:                           SHORT
  • Starting Price:             140,939
  • Stop Loss:                  141,206
  • Take Profit:                 140,773
  • Reward/Risk:               61.8%
  • Risk for Trade: 0.5% - 2% of balance (we use 0.5%)
  • Margin Used:               max 10% of balance

__________

  • OUT SIDE BULL PULL BACK (Cod. BD13)
  • Conditions:
  • Waiting for a correct RSI/MA signal. In particular RSI>MA(RSI).
  • Pay attention to volatility. In particular: if ATR>MA(ATR) high volatility and more risk of operation.
  • Looking for all conditions with Time Frame 1h or bigger, and open with breakage of the level with body candle (use TF smaller).
  • More important is that the price must touch or break 140,939.
  • Position:
  • Type:                           LONG
  • Starting Price:             141,206
  • Stop Loss:                  140,939
  • Take Profit:                 141,640
  • Reward/Risk:               161.8%
  • Risk for Trade: 0.5% - 2% of balance (we use 0.5%)
  • Margin Used:               max 10% of balance

__________

  • IN SIDE BULL PULL BACK (Cod. BD11)
  • Conditions:
  • Waiting for a correct RSI/MA signal. In particular RSI>MA(RSI)and RSI>50, Better if MA(RSI)>50 with smaller TF.
  • Pay attention to volatility. In particular: if ATR>MA(ATR) high volatility and more risk of operation.
  • Looking for all conditions with Time Frame 1h or bigger, and open with breakage of the level with body candle (use TF smaller).
  • More important is that the price must BREAK DOWN 141,640.
  • Position:
  • Type:                           LONG
  • Starting Price:             142,341
  • Stop Loss:                  142,074
  • Take Profit:                 142,775
  • Reward/Risk:               161.8%
  • Risk for Trade: 0.5% - 2% of balance (we use 0.5%)
  • Margin Used:               max 10% of balance

Working by Reversal:

  • BULL RETRACEMENT (Cod. BD15)
  • Conditions:
  • The Price must touch, or better open and close lower than, 141,640.
  • Looking for a Strong Reversal Pattern.
  • Waiting for a correct RSI/MA signal. In particular RSI>MA(RSI) and RSI>50, Better if MA(RSI)>50 with smaller TF.
  • Pay attention to volatility. In particular: if ATR>MA(ATR) high volatility and more risk of operation.
  • Looking for all conditions with Time Frame 1h or bigger, and open with breakage of the level with body candle (use TF smaller).
  • Position:
  • Type:                           LONG
  • Starting Price:             142,074
  • Stop Loss:                  141,640
  • Take Profit:                 142,775
  • Reward/Risk:               161.8%
  • Risk for Trade: 0.5% - 2% of balance (we use 0.5%)
  • Margin Used:               max 10% of balance

__________

  • BEAR RETRACEMENT (Cod. SD16)
  • Conditions:
  • The Price must touch, or better open and close higher than, 142,775.
  • Looking for a Strong Reversal Pattern.
  • Waiting for a correct RSI/MA signal. In particular RSI<MA(RSI) and RSI<50, Better if MA(RSI)<50 with smaller TF.
  • Pay attention to volatility. In particular: if ATR>MA(ATR) high volatility and more risk of operation.
  • Looking for all conditions with Time Frame 1h or bigger, and open with breakage of the level with body candle (use TF smaller).
  • Position:
  • Type:                           SHORT
  • Starting Price:             142,341
  • Stop Loss:                  142,775
  • Take Profit:                 141,640
  • Reward/Risk:               161.8%
  • Risk for Trade: 0.5% - 2% of balance (we use 0.5%)
  • Margin Used:               max 10% of balance

__________

... Read more

!ATTENZIONE!
TUTTE LE CONSIDERAZIONI, I GRAFICI E LE ANALISI CHE VERRANNO POSTATE SU QUESTO BLOG SONO FRUTTO DELL'ESPERIENZA E DEL PARERE PERSONALE DEI TRADERS DI X-SGS TEAM SAGL E SONO OFFERTE SOLO COME SPUNTO PER RIFLESSIONI PERSONALI E NON COSTITUISCONO IN ALCUNA MANIERA DIRETTA O INDIRETTA UN INVITO A QUALSIASI FORMA DI INVESTIMENTO. LE PERFORMANCE SONO SOLAMENTE IPOTETICHE E NON SONO GARANZIA DI RISULTATI FUTURI. L'ATTIVITA' SPECULATIVA COMPORTA ALTI RISCHI ECONOMICI E CHIUNQUE LA SVOLGA LO FA SOTTO LA PROPRIA ESCLUSIVA RESPONSABILITA', PERTANTO L'AUTORE DEL BLOG E CHIUNQUE COLLABORI CON ESSO NON SI ASSUMNO ALCUNA RESPONSABILITA' CIRCA EVENTUALI DANNI DIRETTI O INDIRETTI CIRCA LE DECISIONI DI INVESTIMENTO O NON INTRAPRESE DA CHI LEGGE.


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