Ultimi post:

BUONA PASQUA



Buona Pasqua a tutti i nostri lettori e a coloro che ci seguono!
Rimanete sempre con noi per essere aggiornati sui migliori guadagni della rete e non!

INVESTinBEST Team



Se ti è piaciuto l' articolo... condividilo!
Iscriviti ai feedIscriviti via mailBuzz Itvota su OKNotizieAgregar a TechnoratiAgregar a Del.icio.usAgregar a DiggIt!Agregar a Yahoo! Agregar a facebookAgregar a twitter

(+10.61%) Performance of the day 03-28-2013

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 Descr. Type Cod. Start Target Stop Result Net Profit
AUDUSD 03-27-13 D. Bull Rent. Buy BD15 1,04662 1,04917 1,04505 Profit 3,183%
EURGBP 03-28-13 D.Bear Exp. Sell SD10 0,84180 0,84122 0,84274 Loss -2,358%
EURGBP 03-28-13 D.Bull Outside Buy BD13 0,84274 0,84425 0,84180 Profit 3,125%
EURGBP 03-28-13 D.Bull Inside Buy BD11 0,84670 0,84821 0,84576 Loss -2,358%
EURGBP 03-28-13 D. Bull Rent. Buy BD15 0,84576 0,84821 0,84425 Loss -2,358%
EURGBP 03-28-13 W.Bear Exp. Sell SW02 0,84304 0,84164 0,84531 Profit 1,348%
GBPUSD 03-27-13 D.Bull Outside Buy BD13 1,51175 1,51399 1,51036 Profit 3,211%
USDCHF 03-28-13 W.Bear Outside Sell SW06 0,95078 0,94783 0,95259 Profit 3,351%
USDCHF 03-28-13 D. Bear Rent. Sell SD16 0,95171 0,94788 0,95408 Profit 3,461%
... 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!
Iscriviti ai feedIscriviti via mailBuzz Itvota su OKNotizieAgregar a TechnoratiAgregar a Del.icio.usAgregar a DiggIt!Agregar a Yahoo! Agregar a facebookAgregar a twitter

(+8.30%) Performance of the day 03-27-2013

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 Descr. Type Cod. Start Target Stop Result Net Profit
AUDUSD 03-27-13 D.Bear Exp. Sell SD10 1,04250 1,04190 1,04348 Profit 1,052%
EURUSD 03-27-13 W.Bear Exp. Sell SW02 1,27713 1,27511 1,28038 Profit 1,352%
GBPUSD 03-27-13 D.Bear Exp. Sell SD10 1,51036 1,50951 1,51175 Profit 1,205%
USDCHF 03-27-13 W.Bull Exp. Buy BW01 0,95259 0,95372 0,95078 Profit 1,258%
USDJPY 03-27-13 D.Bull Exp. Buy BD09 94,838 94,920 94,707 Loss -2,316%
USDJPY 03-27-13 D.Bear Outside Sell SD14 94,707 94,493 94,838 Profit 3,233%
USDJPY 03-27-13 D.Bear inside Sell SD12 94,148 93,934 94,279 Loss -2,316%
USDJPY 03-27-13 D. Bear Rent. Sell SD16 94,279 93,934 94,493 Loss -2,316%
GOLD vs USD 03-27-13 D.Bull Inside Buy BD11 1602,12 1605,78 1599,86 Profit 2,919%
GOLD vs USD 03-27-13 D. Bull Rent. Buy BD15 1599,86 1605,78 1596,20 Profit 3,236%
SILVER vs USD 03-27-13 W.Bull Exp. Buy BW01 29,6263 29,7172 29,4794 Profit 0,993%
... 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!
Iscriviti ai feedIscriviti via mailBuzz Itvota su OKNotizieAgregar a TechnoratiAgregar a Del.icio.usAgregar a DiggIt!Agregar a Yahoo! Agregar a facebookAgregar a twitter

GOLD vs USD Daily Strategy 03-27-13

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 1605,78
  • Daily Support 1596,20

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:             1611,70
  • Stop Loss:                  1609,44
  • Take Profit:                 1613,10
  • 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 1611,70.
  • Position:
  • Type:                           SHORT
  • Starting Price:             1609,44
  • Stop Loss:                  1611,70
  • Take Profit:                 1605,78
  • 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 1605,78.
  • Position:
  • Type:                           SHORT
  • Starting Price:             1599,86
  • Stop Loss:                  1602,12
  • Take Profit:                 1596,20
  • 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:             1590,28
  • Stop Loss:                  1592,54
  • Take Profit:                 1588,88
  • 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 1590,28.
  • Position:
  • Type:                           LONG
  • Starting Price:             1592,54
  • Stop Loss:                  1590,28
  • Take Profit:                 1596,20
  • 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 1596,20.
  • Position:
  • Type:                           LONG
  • Starting Price:             1602,12
  • Stop Loss:                  1599,86
  • Take Profit:                 1605,78
  • 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, 1596,20.
  • 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:             1599,86
  • Stop Loss:                  1596,20
  • Take Profit:                 1605,78
  • 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, 1605,78.
  • 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:             1602,12
  • Stop Loss:                  1605,78
  • Take Profit:                 1596,20
  • 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!
Iscriviti ai feedIscriviti via mailBuzz Itvota su OKNotizieAgregar a TechnoratiAgregar a Del.icio.usAgregar a DiggIt!Agregar a Yahoo! Agregar a facebookAgregar a twitter

USDJPY Daily Strategy 03-27-13

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 94,493
  • Daily Support 93,934

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:             94,838
  • Stop Loss:                  94,707
  • Take Profit:                 94,920
  • 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 94,838.
  • Position:
  • Type:                           SHORT
  • Starting Price:             94,707
  • Stop Loss:                  94,838
  • Take Profit:                 94,493
  • 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 94,493.
  • Position:
  • Type:                           SHORT
  • Starting Price:             94,148
  • Stop Loss:                  94,279
  • Take Profit:                 93,934
  • 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:             93,589
  • Stop Loss:                  93,720
  • Take Profit:                 93,507
  • 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 93,589.
  • Position:
  • Type:                           LONG
  • Starting Price:             93,720
  • Stop Loss:                  93,589
  • Take Profit:                 93,934
  • 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 93,934.
  • Position:
  • Type:                           LONG
  • Starting Price:             94,279
  • Stop Loss:                  94,148
  • Take Profit:                 94,493
  • 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, 93,934.
  • 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:             94,148
  • Stop Loss:                  93,934
  • Take Profit:                 94,493
  • 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, 94,493.
  • 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:             94,279
  • Stop Loss:                  94,493
  • Take Profit:                 93,934
  • 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!
Iscriviti ai feedIscriviti via mailBuzz Itvota su OKNotizieAgregar a TechnoratiAgregar a Del.icio.usAgregar a DiggIt!Agregar a Yahoo! Agregar a facebookAgregar a twitter

GBPUSD Daily Strategy 03-27-13

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 1,51986
  • Daily Support 1,51399

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:             1,52349
  • Stop Loss:                  1,52210
  • Take Profit:                 1,52434
  • 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 1,52349.
  • Position:
  • Type:                           SHORT
  • Starting Price:             1,52210
  • Stop Loss:                  1,52349
  • Take Profit:                 1,51986
  • 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 1,51986.
  • Position:
  • Type:                           SHORT
  • Starting Price:             1,51623
  • Stop Loss:                  1,51762
  • Take Profit:                 1,51399
  • 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:             1,51036
  • Stop Loss:                  1,51175
  • Take Profit:                 1,50951
  • 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 1,51036.
  • Position:
  • Type:                           LONG
  • Starting Price:             1,51175
  • Stop Loss:                  1,51036
  • Take Profit:                 1,51399
  • 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 1,51399.
  • Position:
  • Type:                           LONG
  • Starting Price:             1,51762
  • Stop Loss:                  1,51623
  • Take Profit:                 1,51986
  • 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, 1,51399.
  • 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:             1,51623
  • Stop Loss:                  1,51399
  • Take Profit:                 1,51986
  • 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, 1,51986.
  • 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:             1,51762
  • Stop Loss:                  1,51986
  • Take Profit:                 1,51399
  • 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!
Iscriviti ai feedIscriviti via mailBuzz Itvota su OKNotizieAgregar a TechnoratiAgregar a Del.icio.usAgregar a DiggIt!Agregar a Yahoo! Agregar a facebookAgregar a twitter

AUDUSD Daily Strategy 03-27-13

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 1,04917
  • Daily Support 1,04505

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:             1,05172
  • Stop Loss:                  1,05074
  • Take Profit:                 1,05232
  • 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 1,05172.
  • Position:
  • Type:                           SHORT
  • Starting Price:             1,05074
  • Stop Loss:                  1,05172
  • Take Profit:                 1,04917
  • 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 1,04917.
  • Position:
  • Type:                           SHORT
  • Starting Price:             1,04662
  • Stop Loss:                  1,04760
  • Take Profit:                 1,04505
  • 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:             1,04250
  • Stop Loss:                  1,04348
  • Take Profit:                 1,04190
  • 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 1,04250.
  • Position:
  • Type:                           LONG
  • Starting Price:             1,04348
  • Stop Loss:                  1,04250
  • Take Profit:                 1,04505
  • 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 1,04505.
  • Position:
  • Type:                           LONG
  • Starting Price:             1,04760
  • Stop Loss:                  1,04662
  • Take Profit:                 1,04917
  • 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, 1,04505.
  • 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:             1,04662
  • Stop Loss:                  1,04505
  • Take Profit:                 1,04917
  • 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, 1,04917.
  • 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:             1,04760
  • Stop Loss:                  1,04917
  • Take Profit:                 1,04505
  • 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!
Iscriviti ai feedIscriviti via mailBuzz Itvota su OKNotizieAgregar a TechnoratiAgregar a Del.icio.usAgregar a DiggIt!Agregar a Yahoo! Agregar a facebookAgregar a twitter

(-4.68%) Performance of the day 03-26-2013

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 Descr. Type Cod. Start Target Stop Result Net Profit
GBPJPY 03-25-13 D.Bull Outside Buy BD13 142,731 143,123 142,490 Loss -2,340%
GOLD vs USD 03-26-13 W. Bull Rent. Buy BW07 1603,69 1615,56 1596,35 Loss -2,340%
... 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!
Iscriviti ai feedIscriviti via mailBuzz Itvota su OKNotizieAgregar a TechnoratiAgregar a Del.icio.usAgregar a DiggIt!Agregar a Yahoo! Agregar a facebookAgregar a twitter

(+42.81%) Performance of the day 03-25-2013

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 Descr. Type Cod. Start Target Stop Result Net Profit
EURGBP 03-22-13 D. Bull Rent. Buy BD15 0,85277 0,85713 0,85008 Loss -2,126%
EURGBP 03-25-13 D.Bull Exp. Buy BD09 0,85531 0,85588 0,85438 Profit 1,074%
EURGBP 03-25-13 D.Bear inside Sell SD12 0,85047 0,84898 0,85140 Profit 2,811%
EURGBP 03-25-13 D. Bear Rent. Sell SD16 0,85140 0,84898 0,85209 Profit 2,592%
EURGBP 03-25-13 D.Bull Outside Buy BD13 0,84749 0,84898 0,84656 Loss -2,126%
EURJPY 03-25-13 D.Bear Outside Sell SD14 123,480 122,965 123,798 Profit 3,169%
EURJPY 03-25-13 D.Bear inside Sell SD12 122,132 121,617 122,450 Profit 3,169%
EURJPY 03-25-13 D. Bear Rent. Sell SD16 122,450 121,617 122,965 Profit 3,272%
EURJPY 03-25-13 D.Bear Exp. Sell SD10 120,784 120,587 121,102 Profit 1,210%
EURUSD 03-22-13 W. Bull Rent. Buy BW07 1,29884 1,30967 1,29215 Loss -2,126%
EURUSD 03-25-13 D.Bear inside Sell SD12 1,29309 1,28914 1,29552 Profit 3,185%
EURUSD 03-25-13 D. Bear Rent. Sell SD16 1,29552 1,28914 1,29947 Profit 3,283%
GBPJPY 03-25-13 D.Bear inside Sell SD12 143,515 143,123 143,756 Profit 2,498%
GBPJPY 03-25-13 D. Bear Rent. Sell SD16 143,756 143,123 144,148 Profit 2,860%
GBPJPY 03-25-13 D.Bear Exp. Sell SD10 142,490 142,340 142,731 Profit 0,954%
GBPUSD 03-25-13 D.Bear inside Sell SD12 1,52018 1,51753 1,52182 Profit 2,978%
GBPUSD 03-25-13 D. Bear Rent. Sell SD16 1,52182 1,51753 1,52447 Profit 3,154%
USDCHF 03-25-13 W.Bull Inside Buy BW03 0,94488 0,94783 0,94307 Profit 3,021%
USDCHF 03-25-13 W. Bull Rent. Buy BW07 0,94307 0,94783 0,94012 Profit 3,183%
USDCHF 03-25-13 D.Bull Inside Buy BD11 0,94455 0,94729 0,94286 Profit 2,992%
USDCHF 03-25-13 D. Bull Rent. Buy BD15 0,94286 0,94729 0,94012 Profit 3,163%
USDJPY 03-25-13 D.Bull Outside Buy BD13 93,966 94,254 93,789 Loss -2,126%
GOLD vs USD 03-25-13 D.Bull Outside Buy BD13 1600,99 1605,02 1598,51 Profit 2,746%
... 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!
Iscriviti ai feedIscriviti via mailBuzz Itvota su OKNotizieAgregar a TechnoratiAgregar a Del.icio.usAgregar a DiggIt!Agregar a Yahoo! Agregar a facebookAgregar a twitter

USDJPY Daily Strategy 03-26-13

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
  • Daily Resistance 94,914
  • Daily Support 93,840

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:             95,578
  • Stop Loss:                  95,324
  • Take Profit:                 95,735
  • 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 95,578.
  • Position:
  • Type:                           SHORT
  • Starting Price:             95,324
  • Stop Loss:                  95,578
  • Take Profit:                 94,914
  • 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 94,914.
  • Position:
  • Type:                           SHORT
  • Starting Price:             94,250
  • Stop Loss:                  94,504
  • Take Profit:                 93,840
  • 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:             93,176
  • Stop Loss:                  93,430
  • Take Profit:                 93,019
  • 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 93,176.
  • Position:
  • Type:                           LONG
  • Starting Price:             93,430
  • Stop Loss:                  93,176
  • Take Profit:                 93,840
  • 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 93,840.
  • Position:
  • Type:                           LONG
  • Starting Price:             94,504
  • Stop Loss:                  94,250
  • Take Profit:                 94,914
  • 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, 93,840.
  • 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:             94,250
  • Stop Loss:                  93,840
  • Take Profit:                 94,914
  • 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, 94,914.
  • 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:             94,504
  • Stop Loss:                  94,914
  • Take Profit:                 93,840
  • 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!
Iscriviti ai feedIscriviti via mailBuzz Itvota su OKNotizieAgregar a TechnoratiAgregar a Del.icio.usAgregar a DiggIt!Agregar a Yahoo! Agregar a facebookAgregar a twitter
Related Posts Plugin for WordPress, Blogger...

RISPARMIA E GUADAGNA CON SKEBBY!!

DISCLAIMER:
L'autore, l’amministratore e i collaboratori del sito INVEST in BEST si dichiarano completamente estranei e disinteressati a qualsiasi promozione di attività finanziaria implicita o esplicita in quanto per svolgere questo atto è necessario essere iscritti all'albo unico nazionale dei promotori finanziari come è prescritto dalla normativa vigente.
Tutto ciò che verrà scritto in questo sito sarà da intendersi come pura espressione e condivisione personale di idee, opinioni ed informazioni senza invitare nè obbligare nessuno a prendere parte a qualsivoglia programma, progetto e/o attività
e o acquisto di alcun prodotto e/o servizio.
Tutto ciò di cui si discuterà e scriverà sarà basato sull'esperienza personale e privata.
Si dichiarano oltretutto completamente estranei e fuor causa per eventuali perdite di denaro o altro bene avvenute per vie dirette o indirette.

Il contenuto di INVEST in BEST è protetto da copywriting
è vietata la copia totale o parziale
.