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(+18.01%) Performance of last week

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 Start Descr. Type Cod. Start Target Stop Result Net Profit
EURGBP 04-25-13 W.Bear Exp. Sell SW02 0,84565 0,84415 0,84807 Profit 1,948%
EURJPY 04-19-13 W.Bull Inside Buy BW03 129,700 130,990 128,903 Loss -3,390%
GBPJPY 04-19-13 W. Bull Rent. Buy BW07 151,719 153,723 150,481 Profit 5,193%
GBPUSD 04-22-13 W. Bull Rent. Buy BW07 1,52843 1,53758 1,52277 Loss -3,390%
GBPUSD 04-25-13 W.Bull Inside Buy BW03 1,53192 1,53758 1,52843 Profit 5,139%
USDCHF 04-23-13 W.Bull Exp. Buy BW01 0,94131 0,94312 0,93840 Profit 1,937%
USDJPY 04-19-13 W.Bull Inside Buy BW03 99,290 99,939 98,889 Profit 5,239%
USDJPY 04-19-13 W. Bull Rent. Buy BW07 98,889 99,939 98,240 Profit 5,333%
Gain from previous week 3,12%
Gain from intial capital 18,01%
... 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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GUIDA APERTURA CONTO NETELLER

NETELLER



Buongiorno a tutti cari lettori oggi vorremmo postarvi una guida molto semplice e ben fatta che abbiamo realizzato noi di INVESTinBEST.
Molti infatti ci hanno chiesto come iscriversi e aprire un account con uno dei circuiti di pagamento e di e-currency più famosi del mondo ossia NETELLER.
La procedura è molto semplice e vi rimandiamo qui sotto per i procedimenti passo passo che dovete compiere.

Per prima cosa cliccate su questo link QUI e andrete sul sito di Neteller dal quale potrete effettuare la registrazione.
Nei campi contrassegnati e in questo caso oscurati per privacy vi vengono richiesti la mail, il paese di residenza e la moneta che volete avere associata al vostro conto ( € praticamente salvo altra preferenza ). Poi cliccate su CONTINUE



Nella seconda pagina vi si aprirà un form da compilare con i seguenti campi :

Nome
cognome
indirizzo
città
provincia
codice postale
paese
numero di telefono 
sesso 
data di nascita
password che si vuole impostare per il conto
e 3 domande e corrispettive risposte segrete a scelta tra quelle proposte che vi serviranno per sfruttare appieno il vostro conto o per recuperare dati sensibili qualora non li ricordaste.

Alla fine cliccate ancora su CONTINUE.





Vi si apparirà un riquadro con all'interno le risposte segrete alle domande che avete scelto ( quelle nell'immagine qui sotto sono solo un esempio di quelle che abbiamo scelto noi ). Stampatele ( PRINT ) oppure trascrivetele da qualche parte in quanto non dovrete assolutamente perderle poichè vi serviranno per l'accesso al vostro e-wallet.
Cliccate poi su CONTINUE




La finestra successiva che ci appare ci conferma che l'apertura del nostro nuovo account NETELLER è andata a buon fine. Dice inoltre che una conferma ci è stata spedita all'indirizzo mail che abbiamo usato per la registrazione. 
Ci vengono qui forniti due importanti dati: 
Account ID
Secure ID
Conservateli con cura.
Il tasto sotto ci chiede cosa vogliamo fare ora, selezioniamo una opzione nel menù a tendina e clicchiamo su CONTINUE.






Ecco qui il nostro conto NETELLER che ora è stato finalmente creato con successo. Ovviamente il nostra balance per ora è 0€ in quanto ancora non abbiamo depositato nulla e per farlo basta usare uno degli strumenti proposti sotto che vanno dalla carta di credito, alla prepagata al trasferimento bancario e altro.







Andiamo ora sulla nostra mail utilizzata per aprire l'account e riceveremo una mail di benvenuto da NETELLER la quale ci ricorda anche il nostro ACCOUNT ID unico come potete vedere qui sotto




Bene ora avete appena completato la procedura per aprire il vostro account NETELLER e potrete già iniziare a sfruttarlo.
Ricordate di verificare il vostro account inviando i documenti richiesti ( basta la semplice fotocopia della carta di identità ).

Con questo abbiamo chiuso la nostra guida all'apertura di un conto NETELLER.
Per andare sul sito cliccate questo link: 

Se vi piace la nostra guida condividetela e cliccate su MI PIACE qui a lato!
Ricordatevi di iscrivervi alla nostra newsletter per non perdere nessuna novità.

BUON GUADAGNO A TUTTI!

INVESTinBEST Team



NETELLER


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PRESENTAZIONE POWER TRADE CONSOLE!



Ricordiamo a tutti che mercoledì 24 marzo ore 18:00 fino alle 19:00 su Afx Capital http://www.afxcapital.it/Education/Webinars verrà finalmente presentata la PTC da parte dell' X-SGS Team.

Ricordate di iscrivervi per avere accesso al webinar e scoprire questo incredibile strumento per il trading che rivoluzionerà totalmente il vostro modo di tradare.
Grazie ad esso nei primi 4 mesi del 2013 i ragazzi dell' X-SGS Team sono riusciti ad ottenere una performance superiore al 500%!!!! A dir poco INCREDIBILE. Trovate tutte le informazioni qui: http://www.xsgs-team.com/

Per l'iscrizione al webinar/presentazione: http://www.afxcapital.it/Education/Webinars

NON PERDETEVELO VE LO RACCOMANDIAMO CALDAMENTE!

BUON GUADAGNO A TUTTI 

INVESTinBEST Team

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WEBINAR AFX CAPITAL E PRESENTAZIONE POWER TRADE CONSOLE!!!



Salve a tutti lettori di INVESTinBEST, scriviamo questo post per invitarvi alla prima mondiale in cui verrà presentata finalmente la POWER TRADE CONSOLE da parte del Team di X-SGS.

Il webinar si terrà sul broker AFX CAPITAL mercoledì 24 Aprile dalle 18:00 alle 19:00 e potete iscrivervi da qui :
http://www.afxcapital.it/Education/Webinars

Vi consigliamo caldamente di non mancare e di partecipare a quella che sarà una rivoluzione del trading e del guadagno NELL'IMMEDIATO FUTURO!

Come sempre BUON GUADAGNO A TUTTI e se vi fa piacere condividete l'articolo su facebook!

INVESTinBEST Team



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(+6.66%) Performance of the Day 04/11/2013

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 Start Descr. Type Cod. Start Target Stop Result Net Profit
AUDUSD 04-11-13 D.Bear inside Sell SD12 1,05037 1,04795 1,05185 Loss -3,184%
AUDUSD 04-11-13 D. Bear Rent. Sell SD16 1,05185 1,04795 1,05426 Loss -3,184%
EURGBP 04-10-13 D.Bear inside Sell SD12 0,85268 0,85119 0,85360 Profit 4,199%
EURGBP 04-10-13 D. Bear Rent. Sell SD16 0,85360 0,85119 0,85509 Profit 4,563%
EURUSD 04-10-13 D. Bear Rent. Sell SD16 1,30673 1,30171 1,30983 Loss -3,184%
EURUSD 04-11-13 D.Bull Inside Buy BD11 1,30857 1,31040 1,30744 Profit 4,331%
EURUSD 04-11-13 D. Bull Rent. Buy BD15 1,30744 1,31040 1,30561 Profit 4,644%
EURUSD 04-11-13 D.Bull Exp. Buy BD09 1,31336 1,31406 1,31223 Profit 1,654%
GBPUSD 04-08-13 D. Bear Rent. Sell SD16 1,52941 1,52039 1,53499 Loss -3,184%
Gain from yestarday 1,24%
Gain from intial capital 6,66%
... 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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AUDUSD Daily Strategy 04-12-13

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 1,05741
  • Daily Support 1,05024

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:             1,06184
  • Stop Loss:                  1,06015
  • Take Profit:                 1,06289
  • 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 1,06184.
  • Position:
  • Type:                           SHORT
  • Starting Price:             1,06015
  • Stop Loss:                  1,06184
  • Take Profit:                 1,05741
  • 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 1,05741.
  • Position:
  • Type:                           SHORT
  • Starting Price:             1,05298
  • Stop Loss:                  1,05467
  • Take Profit:                 1,05024
  • 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:             1,04581
  • Stop Loss:                  1,04750
  • Take Profit:                 1,04476
  • 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 1,04581.
  • Position:
  • Type:                           LONG
  • Starting Price:             1,04750
  • Stop Loss:                  1,04581
  • Take Profit:                 1,05024
  • 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 1,05024.
  • Position:
  • Type:                           LONG
  • Starting Price:             1,05467
  • Stop Loss:                  1,05298
  • Take Profit:                 1,05741
  • 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, 1,05024.
  • 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:             1,05298
  • Stop Loss:                  1,05024
  • Take Profit:                 1,05741
  • 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, 1,05741.
  • 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:             1,05467
  • Stop Loss:                  1,05741
  • Take Profit:                 1,05024
  • 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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EURUSD Daily Strategy 04-12-13

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 1,31296
  • Daily Support 1,30478

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:             1,31802
  • Stop Loss:                  1,31608
  • Take Profit:                 1,31921
  • 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 1,31802.
  • Position:
  • Type:                           SHORT
  • Starting Price:             1,31608
  • Stop Loss:                  1,31802
  • Take Profit:                 1,31296
  • 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 1,31296.
  • Position:
  • Type:                           SHORT
  • Starting Price:             1,30790
  • Stop Loss:                  1,30984
  • Take Profit:                 1,30478
  • 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:             1,29972
  • Stop Loss:                  1,30166
  • Take Profit:                 1,29853
  • 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 1,29972.
  • Position:
  • Type:                           LONG
  • Starting Price:             1,30166
  • Stop Loss:                  1,29972
  • Take Profit:                 1,30478
  • 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 1,30478.
  • Position:
  • Type:                           LONG
  • Starting Price:             1,30984
  • Stop Loss:                  1,30790
  • Take Profit:                 1,31296
  • 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, 1,30478.
  • 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:             1,30790
  • Stop Loss:                  1,30478
  • Take Profit:                 1,31296
  • 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, 1,31296.
  • 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:             1,30984
  • Stop Loss:                  1,31296
  • Take Profit:                 1,30478
  • 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 04-12-13

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 153,766
  • Daily Support 152,337

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:             154,649
  • Stop Loss:                  154,312
  • Take Profit:                 154,858
  • 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 154,649.
  • Position:
  • Type:                           SHORT
  • Starting Price:             154,312
  • Stop Loss:                  154,649
  • Take Profit:                 153,766
  • 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 153,766.
  • Position:
  • Type:                           SHORT
  • Starting Price:             152,883
  • Stop Loss:                  153,220
  • Take Profit:                 152,337
  • 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:             151,454
  • Stop Loss:                  151,791
  • Take Profit:                 151,245
  • 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 151,454.
  • Position:
  • Type:                           LONG
  • Starting Price:             151,791
  • Stop Loss:                  151,454
  • Take Profit:                 152,337
  • 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 152,337.
  • Position:
  • Type:                           LONG
  • Starting Price:             153,220
  • Stop Loss:                  152,883
  • Take Profit:                 153,766
  • 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, 152,337.
  • 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:             152,883
  • Stop Loss:                  152,337
  • Take Profit:                 153,766
  • 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, 153,766.
  • 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:             153,220
  • Stop Loss:                  153,766
  • Take Profit:                 152,337
  • 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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GBPUSD Daily Strategy 04-12-13

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 1,54032
  • Daily Support 1,53227

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:             1,54529
  • Stop Loss:                  1,54340
  • Take Profit:                 1,54647
  • 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 1,54529.
  • Position:
  • Type:                           SHORT
  • Starting Price:             1,54340
  • Stop Loss:                  1,54529
  • Take Profit:                 1,54032
  • 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 1,54032.
  • Position:
  • Type:                           SHORT
  • Starting Price:             1,53535
  • Stop Loss:                  1,53724
  • Take Profit:                 1,53227
  • 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:             1,52730
  • Stop Loss:                  1,52919
  • Take Profit:                 1,52612
  • 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 1,52730.
  • Position:
  • Type:                           LONG
  • Starting Price:             1,52919
  • Stop Loss:                  1,52730
  • Take Profit:                 1,53227
  • 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 1,53227.
  • Position:
  • Type:                           LONG
  • Starting Price:             1,53724
  • Stop Loss:                  1,53535
  • Take Profit:                 1,54032
  • 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, 1,53227.
  • 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:             1,53535
  • Stop Loss:                  1,53227
  • Take Profit:                 1,54032
  • 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, 1,54032.
  • 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:             1,53724
  • Stop Loss:                  1,54032
  • Take Profit:                 1,53227
  • 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 04-12-13

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 0,93356
  • Daily Support 0,92815

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:             0,93690
  • Stop Loss:                  0,93563
  • Take Profit:                 0,93769
  • 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 0,93690.
  • Position:
  • Type:                           SHORT
  • Starting Price:             0,93563
  • Stop Loss:                  0,93690
  • Take Profit:                 0,93356
  • 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 0,93356.
  • Position:
  • Type:                           SHORT
  • Starting Price:             0,93022
  • Stop Loss:                  0,93149
  • Take Profit:                 0,92815
  • 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:             0,92481
  • Stop Loss:                  0,92608
  • Take Profit:                 0,92402
  • 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 0,92481.
  • Position:
  • Type:                           LONG
  • Starting Price:             0,92608
  • Stop Loss:                  0,92481
  • Take Profit:                 0,92815
  • 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 0,92815.
  • Position:
  • Type:                           LONG
  • Starting Price:             0,93149
  • Stop Loss:                  0,93022
  • Take Profit:                 0,93356
  • 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, 0,92815.
  • 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:             0,93022
  • Stop Loss:                  0,92815
  • Take Profit:                 0,93356
  • 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, 0,93356.
  • 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:             0,93149
  • Stop Loss:                  0,93356
  • Take Profit:                 0,92815
  • Reward/Risk:               161.8%
  • Risk for Trade: 0.5% - 2% of balance (we use 0.5%)
  • Margin Used:               max 10% of balance

__________

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