Short-term speculation profit points

forexbrokerrebateprogram 2023/2/25 23:45:02 3Views

The cashback forex forex broker rebate program market autorebateforex a 24-hour non-stop operation of the transaction, the huge num forexbrokerrebateprogramr of global transactions to make its daily fluctuations are frequent and volatility is large so accumulate, chase forexrebatebesttra-day short term trading profits become some foreign exchange investors success rules because of the leverage effect of foreign exchange margin, so that every few hours or even a few minutes on the fluctuations of 20 to 100 points of profit spreads are magnified very considerable here the so-called Short-term refers to a few hours, a few minutes to buy and sell Short-term operation is the foreign exchange experts often do the game, its requirements are deep knowledge of the foreign exchange market, familiar with the manipulation techniques, good psychological quality, the more important point is to have time to always pay attention to the foreign exchange market short term speculation key in the hot spots, investors should have a keen insight into the formation of hot spots If you want to use short term speculation profit, we must pay attention to the following four A, volume: volume for the price guide, the volume is the price of the forerunner, the rise in the exchange price, must have the volume of matching volume amplification, which means an increase in the turnover rate, the average cost of the position, the upper gears to reduce the pressure, the exchange price will continue to rise Therefore, the short term operation must be selected with the volume of foreign exchange, the bottom release of foreign exchange should be particularly concerned about Second, graphics: short term operation in addition to the importance of Volume, should also pay attention to the changes in the graph of these graphs deserve high attention: W bottom, head and shoulders, circular bottom, platform, rising channel, etc. There are two points must pay high attention to: First, the volume must be released breakthrough for a valid breakthrough no volume with the breakthrough is a false breakthrough, the exchange rate will often quickly return to the start level second, the breakthrough in the low price is more reliable sometimes in the breakthrough neck line, there is often a pullback confirmation, also Can be used as a good opportunity to open positions; the exchange rate platform finishing, the volatility is getting smaller and smaller, especially at low levels even a few crosses or a few small positive, the exchange rate will often choose to break up; take the rising channel of foreign exchange, can buy when the exchange rate touches the lower rail, especially when the lower rail is ten days, thirty days average, when the exchange rate touches the upper rail to sell flag finishing, box finishing two important graphics, the operating know-how and W bottom almost three Technical indicators: the currency market technical indicators countless, investors must be familiar with only a few can be commonly used technical indicators are KDJ, RSI, etc. In general, K value at low levels (about 20%) 2 times through the D value, is a better time to buy; at high levels (more than 80%) 2 times through the D value, the formation of a dead cross, is a better time to sell RSI indicators in 0 ~ 20, foreign exchange is oversold, can The biggest shortcoming of the technical indicators is the lag, using it as the only reference standard often brings a large error many strong currencies, the indicator high blunt, but the exchange rate still continues to soar; many weak currencies, the indicator has been at a low level, but the exchange rate is still negative more than and the use of technical indicators, often into the indicator made a mess, the indicator is near perfect when shipping. Sometimes the use of technical indicators loss is also a common thing, therefore, in the application of technical indicators, must be integrated with all aspects of the situation, especially the volume of the relationship between price and in-depth analysis Four, the average: short-term operations generally refer to five days, ten days, thirty three averages five-day average through ten days, thirty averages, ten averages through thirty averages, called the golden cross, is the time to buy; the opposite is called a dead cross, is to sell The timing of the three averages are arranged upward called the long alignment, is a strong currency performance, the exchange rate drawdown back to shoot five days, ten days, thirty averages is the time to buy (Note: must be a drawdown drawback) exactly which one of the averages should be drawn back to buy, depending on the currency and the general market trend; three averages are arranged downward called the short alignment, is a weak performance, should not intervene Short-term operation, the exchange rate surge wave fall, short term The master should not only learn to take profits, should also learn the same important things: cut meat have the courage to participate in short-term operations, we must have the courage to admit defeat when the judgment error, buy down foreign exchange, should be decisive to sell, to prevent the loss of the deep set of the sang Yu, the East, as long as the good summary of the reasons for the error in judgment, is also considered a kind of compensation for cutting meat short term speculation must be fast in and fast out, and set a good stop loss level, can be 5% can also be 10%, depending on individual circumstances. Depending on individual circumstances, the exchange rate fell below the stop-loss level, must be decisive to sell, avoid the risk of exit, strictly in accordance with the stop-loss level operation
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