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Use Fibonacci Expansions to Set a Limit

8 月 30, 2016 によって リオル Alkalay 7 コメント

You’re about to ride a bullish trend; you plan your stop loss and gauge how much you can risk. You also know the rule of thumb—that is that your profit should be at least twice the amount you are willing to risk. But how can you know if the trade you’re considering really has potential that is worth twice the risk? The Fibonacci Expansion is a great tool that allows you to assess the potential of a bullish trend, especially when used with other indicators.

Drawing the Fibonacci Expansion

The Fibonacci Expansion on a MetaTrader trend line has three dots yet only the first and third are really worth your focus. The first dot has to be placed at the beginning of the first wave in our expansion wave and the third dot should be placed at the beginning of the second wave.

フィボナッチ

Caution: One of the biggest pitfalls in the Fibonacci Expansion is the failure to recognize the second wave. The second wave can only be considered a second wave if it is higher than the first; if it did not create a new high, it’s either not the second wave or, worse, there’s no expansion.

After the Fibonacci Expansion has been drawn, we can see the various levels of possible resistance. It is important to notice that, 確かに, the various levels of Fibonacci are acting as resistance levels, especially the 61.8% と、 161.8%. If the Fibonacci levels and resistance levels do not align on key levels, the Fibonacci Expansion was drawn incorrectly.

Setting your Limit

When the Fibonacci levels are overlaid, you can get an indication on possible targets for your trend and can decide accordingly on which level to place your limit. If the limit is more than twice the distance in pips to your stop loss, that is a confirmation that the trade is worthwhile.

フィボナッチ

Now you are left with a key decision: where is the potential limit for this trade? That will depend on your degree of conservatism, すなわち. your risk threshold. たとえば, placing your limit at the 200% level is somewhat aggressive. If you have to place your limit on that level to gain twice what you are risking, you are taking quite a chance because there is no margin of safety. But if you set your limit at 161.8% and that gives you twice what you are risking, then there is more margin for safety, and the pair is more likely to fit the 161.8% level than it is the 200%. If the pair surges beyond the 200% level you can repeat the drawing process and stretch a new line and get a new potential target.

Rules to Remember

The biggest risk with Fibonacci, whether it’s expansion or retracement, is that if you stretch it wrong, your entire strategy can go wrong, including your potential target. One way to avoid such a pitfall is to use the second wave rule of thumb. Another way to minimize risk is to calibrate Fibonacci using パラボリック SAR. It is also important to remember that, just like any other trend or support line, the higher you go on the intervals – daily, weekly, monthly – the more accurate it is likely to be (その逆, もちろんです). 最後に, and perhaps the most important thing, is the understanding that Fibonacci does not determine trend—YOU must determine whether or not the trend is, 確かに, bullish before considering the Fibonacci expansion as accurate.

以下の下でファイルさ: 戦略の取引のアイデア タグが付いて: フィボナッチ, パラボリック SAR, 利益のターゲット, retracement

Using Parabolic SAR vs MACD

7 月 5, 2016 によって リオル Alkalay 1 コメント

Parabolic SAR and MACD are both very effective in spotting pivots and yet there is a difference. いくつかのケースで, you will find the Parabolic SAR is more effective while in others you might find the MACD more useful. That is why, in order to make the best of both, you must know the advantages and weaknesses of each.

Parabolic SAR has Higher Sensitivity

The first thing you will notice when comparing a パラボリック SAR to an MACD indicator is that the Parabolic SAR signals many more pivots. That is because the Parabolic SAR has, by default, more sensitivity to minor changes. もちろんです, you can reduce the level of sensitivity, but even so, it delivers more signals than the MACD. The benefit of such sensitivity is that, at times, the Parabolic SAR predicts a pivot before the MACD. But that sensitivity has a downside. In small fluctuations the Parabolic SAR can occasionally produce fake pivots. As you can see from point A to point B, the pair has been trending sideways and still the Parabolic SAR delivered plenty of signals, most are falls. しかし, the MACD during the same time frame was much more effective.

パラボリック SAR

MACD is better at Momentum

One advantage the MACD has over Parabolic SAR is the measurement of momentum. As can be seen in the chart above, the MACD indicator, through the lows and the highs of its histogram, illustrates how strong the momentum is to either direction. If the histogram falls sharply lower, the momentum is strongly bearish, if it rises sharply higher, the momentum is highly bullish, if the histogram is fluctuating close to 0, the momentum is weak.

While the Parabolic SAR does a good job in identifying the direction of momentum quicker, it is much less effective in identifying the strength of a pair’s momentum. And that is why, when it comes to momentum, MACD is more effective than Parabolic SAR.

Limit/Stop Loss

Another way in which MACD and Parabolic SAR differentiate is in the way they influence stop loss and limit strategy.

パラボリック SAR, being an upper indicator, is overlaid on the price rather than being presented below. The dots of the Parabolic SAR are natural stop loss and limit levels for the short term. さらに, when used in conjunction with Fibonacci levels, can also be effective in placing long term stop loss and limit orders.

MACD, しかし, being a lower indicator, すなわち. presented below the chart rather than overlaid, has a more complex relationship with stop loss and limits. The MACD can be effective as an indicator for a stop loss when momentum shifts to the other direction, thus pointing to a pivot. But for the MACD to be effective as a stop loss indicator it needs a Gann Fan or an area where the MACD momentum converged more than once, indicating a strong support, or resistance if the trend is bearish.

結論として

Both the Parabolic SAR and the MACD are strong tools for working with pivots, but are different in their effectiveness. One is better in identifying pivots quickly and in placing limits and stop loss, the other is better at analyzing momentum strength and timing entry. Knowing the advantages of each can allow you to optimize the use of both and, more importantly, optimize your performance.

以下の下でファイルさ: 戦略の取引のアイデア タグが付いて: 制限, MACD, パラボリック SAR, 損失を停止します。, 利益を取る

パラボリック SAR とフィボナッチを強化します。

9 月 21, 2015 によって リオル Alkalay 4 コメント

フィボナッチ リトレースメントを定期的に使用する場合, この記事はあなたのためです。, すべてのシンプルさと利便性のため, フィボナッチ レベル 把握するそれらを使用しているすべてのトレーダーは、1 つのトリッキーな要素を持っています。. どのようにあなたのフィボナッチリトレースメントの測定を開始する場所を決定します。? 間違ったポイントから開始する場合, それはフィボナッチ レベルがどのように役に立つのための含意. だから右のフィボナッチ レベルのトリックがあります。? うんあります。, パラボリックの SAR が含まれますと, 相対強度インジケーターのあまり知られている弟.

パラボリックの SAR は、あなたを助けることができる方法

、 パラボリック SAR 相対強度インジケーターをもたらした同じ首謀者によるインデックス: J ・ ウェルズ ワイルダー. 末尾の停止損失のための有効なツールとして使用一般的. しかし, パラボリックの SAR はまた、別の非常に良い使用: それは非常に効果的でピボットを識別します。. 下の週足チャートに見られるように, パラボリックの SAR として転換価格を上回っているから (弱気のサイン) 価格以下であることに (強気のサイン), この場合 – ペア, ピボットに達した-EUR/USD. と, もちろんです, パラボリックの SAR をその上に価格の下であることから切り替えると、逆が真-, これはまた、ピボットです。.

だからなぜフィボナッチにとって有益この徴候は、します。? 基本的には, 反対の方向の 2 軸の間に傾向があります。. それは始まったところだとわかっている場合 (最初のパラボリックの SAR 変換) それが終了したと (次のパラボリックの SAR 変換), 我々 は知っている場所を正確にフィボナッチをストレッチ, はるかに正確なこと.

フィボナッチの実用的な例

もう 1 回お願いします, 我々 のペアを見てみましょう, ユーロ/米ドル. 最初の例, 我々 は、上から下へのフィボナッチをストレッチしよう. 我々 が得たフィボナッチ レベルをスポッティング キー抵抗とサポートのレベルで私たちのために有用されていない本当に. それは実際に 2 つの異なる弱気波をキャプチャし、オフにフィボナッチの位置. 2 番目の例, これは私たちにとって見当違い波なので、フィボナッチを伸ばすための出発点としてパラボリックの SAR の 2 番目の収束を使いました.

私たちのフィボナッチの終わりと第二波の終端を表す次のパラボリックの SAR 収束を使用し, または、 1 レベル. パラボリックの SAR マーク私たちのフィボナッチリトレースメントから始めればよいか、どこでフィボナッチの私たちのストレッチを終了するには. フィボナッチの精度の向上が明らか. 本質的には、私たちのフィボナッチ レベルがはるかに信頼できる抵抗とサポートのレベルとして信頼できるようになりました.

パラボリック SAR

esignal

知っている必要があるもの

あなたはおそらく推測しています。, 時計/回避この便利な組み合わせを実装する前にする必要があります。 いくつかの落とし穴があります。. パラボリックの SAR よりも毎週間隔でより効果を発揮する傾向にあります。, しましょう, 毎日、あるいは 1 時間ごと. 時間または日ベースでこのメソッドを使用するのであれば, 同じレベルの精度を期待しないでください。. つまりおそらく、パラボリックの SAR とフィボナッチのこの技術はスイングト レーダーに最適.

パラボリック SAR

esignal

以下の下でファイルさ: 戦略の取引のアイデア タグが付いて: フィボナッチ, パラボリック SAR

正しい戦略を選択します

11 月 12, 2014 によって エディ ・花 3 コメント

Traders use a variety of strategies in the markets, all based on two forms of analysis: Fundamental analysis and technical analysis. Although institutions and other large traders often use a combination of these two analytical styles, most independent traders rely on strategies based largely on technical analysis.

Let’s take a look at both analytical styles as they apply to trading forex.

Fundamental analysis

In the stock markets, equities traders are sometimes able to value a company (and therefore predict its share price) if they know all the information about that company. That’s because the share price of the company reflects the value of its known assets. By knowing a company, the equity trader knows what its share price should be.

しかし, in forex markets using fundamental analysis alone is far less effective, because it’s extremely difficult to value an entire country’s economy in order to predict its currency’s value. Most forex traders use exclusively technical analysis.

When full scale fundamental analysis is applied to forex markets, it’s most often used as a way to predict longer-term trends. と, some traders use data such as news releases in the short term to generate trades or confirm signals. だから, along with their mainstay technical analysis, some traders incorporate fundamental data.

Here are some of the fundamental indicators commonly used by forex traders:

★ Non-Farm Payroll

★ Consumer Price Index (CPI)

★ Purchasing Managers Index (PMI)

★ Durable Goods Sales

★ Retail Sales

For best results, savvy traders also pay attention to various meetings of government officials and industry conferences, and other venues where market-moving quotes and commentary can be found.

Meetings are scheduled to discuss inflation, interest rates and other issues that directly affect currency prices. These meetings and conferences are often reported in the industry press before they reach mainstream media. The important event for fundamentals-based forex traders is the Federal Open Market Committee (FOMC) press conference and meeting transcript.

Forex traders can follow meetings and conferences and become highly knowledgeable specialists, and profit by knowing a particular market better than most others.

Technical analysis

Technical analysis is by far the most common basis for forex strategies. Using technical analysis in forex is different than in equities, because the forex time frame is 24 hours worldwide whereas many stocks don’t trade overnight, so their price movements are different.

Traders use a huge variety of individualized systems, often built by knowledgeable EA providers, with many different indicators. Here are just a few of the most common indicators and theories used in technical analysis:

★ Elliott Waves

★ パラボリック SAR

★ ギャン Theory

★ Fibonacci Numbers

★ Pivot points

Traders craft many different strategies based on technical analysis, especially by combining multiple indicators. Other developers create trading systems based on finding historical buying and selling patterns that are expected to be repeated.

Developing a personal strategy

Successful forex traders develop and fine-tune their strategies over time. Some traders focus on a particular tool or calculation, while others user a broader approach and experiment with a combination of technical and fundamental analysis.

Many new traders wisely start out by “paper trading” or using a demo account with a 外国為替ブローカー. と, experienced traders almost invariably develop new systems with backtesting before trying them in real time. Lack of experience can cause you to lose your capital, so it’s important to take the time to practice before committing significant money to any new trading system.

Regardless of whether you use technical indicators alone, or incorporate fundamentals as well, if you have the discipline to learn your target markets and trade confidently while carefully managing risks, then your strategy has an excellent chance to succeed.

Do you rely on technical indicators? Fundamental indicators? または, a combination of both?

以下の下でファイルさ: あなたの概念を歴史的にテストします。, 戦略の取引のアイデア タグが付いて: バックテスト, フィボナッチ, 外国為替戦略, forex trading system, ギャン, パラボリック SAR, pivot point

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