giovedì 11 aprile 2013

GBPJPY Daily Strategy 04-12-13

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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

__________

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