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Investment idea

In the year of the fluffy bunny, shares of one company may be in special demand NYSE: PLA.

Or maybe not only stocks will be in demand! :))




Trading opportunities (20-23 dec) featuring SPRD video

Continuation of the topic, started last sunday, namely analysis of situations, that I ran into during the week. Parsing is carried out using the sitefreestockcharts.com.
This time the analysis is supplemented with a short video on the SPRD action, which I did not get into, because I canceled the hotkey confirmation on 100 шерс, to enter a larger volume).
Thanks to Dima (Dmitry T) for the suggested music (city. Hadouken).
Download video, leave your thoughts, share your observations and situations.

Trading Ideas: Molycorp, Inc. (MCP)

Trading ideas on daily charts. Trading Ideas: Molycorp, Inc. (MCP) There is a good opportunity to buy a stock above the level 34$. On the intraday chart, the level 34$ – strong resistance level. When buying above 34$ stop can be placed below 30$. For those, who doesn't know english, I provide an electronic translation of Google from the Finviz website about the activities of this company: Molycorp, Inc, […]

We trade MICEX-30

thought — what is there to pull, gotta start. Recently demonstrated the results of the trading system for MICEX30 stocks with an average trade duration 56 days. Another system appeared the day before yesterday, but with average trade duration 20 days. I decided to combine them for trading stocks from the MICEX index. I decided to trade both systems only long, no margin at approximate closing prices. I.e, approximately at 18:30 running the program, it runs stocks and issues orders to open / close positions and I manually execute them before the session closes, That, as I understand it ends in 18:45. It could be, certainly, engage in positions at the opening of the session, how do i do for american stocks, but here the natural factor works — during the opening of the Russian session, I am still sleeping and for the sake of some promotions I am not going to change the daily routine :)
System money management is simple — for each of the two systems, one is allocated 10 parts of the deposit. I.e, maximum can be opened at the same time 20 positions, but at the same time the same stock can be opened for two systems at the same time — then it will already be counted as two positions. The system will play with reinvestment both upward, and in the direction of reducing the deposit. For example, if today the deposit is 1Mio rubles, then 50K rubles are allocated for one position. If tomorrow is a deposit (open positions + money) increased to 1.2Mio — 60K allocated per position. If the deposit has decreased to 0.9Mio — 45K rubles are allocated for the position.
Since I had a buy-and-hold portfolio at Guta Bank, then yesterday or the day before yesterday I successfully closed unnecessary positions and opened some of the positions by systems. Actually, for example, for some stock, the actual opening of the position should have been a week ago, but since today's price is below the entry point, then opened today. Or, for example, I had MMC Norilsk Nickel in my old portfolio at a price 2005 of the year, and according to the system, it should have been in position for a month already, then I just didn't close it, but now I think that it was opened according to the system a month ago. Well, something like this — today we have the following positions:

Truth, I plan, close all positions before the new year and open an account with another broker after the new year(while preliminarily stopped at Finam). There are some specific bureaucratic reasons for this..

If distributed across systems, then now:
Long-term system open:
1. Rosneft
2. Sberbank
3. RusHydro
4. Surgutnfgz
5. Tatneft 3ao
6. OGK-3 ao
7. MMC Nornik
8. FSK UES
9. Surgutnfgz-p

On the medium-term system, open:
1.Sberbank
2. MMC Nornik
3. Rostel
4. Inter Rao
5. PoleGold
6. RusHydro

Trading Ideas: Grupo Financiero Galicia S.A. (GGAL)

Trading ideas on daily charts. Trading Ideas: Grupo Financiero Galicia S.A. (GGAL) There is a good opportunity to buy when the level is broken 17$. 17$ – good resistance level. The stock has a strong uptrend. A graphic model of an ascending triangle has formed. When buying above 17$, stop can be placed below 15$. For those, who doesn't know english, I provide an electronic translation of Google from […]

Size management post with prologue and epilogue

NB: Pro spin the wheel, beginners print and learn by heart:)

Part 1. Risks.
The basis of the risk management is the value of the daily stop – this is the maximum amount, that you can lose in a day. Personally, I am not a supporter of that, to count it every day according to some cunning scheme (for example, hang the moving average on the profitability chart and determine the stop for the day by its value). But what exactly is worth doing – it is to decrease the day stop during the red bar. This allows you to relieve the psychological stress., get back to work and trade with a cool head. As results improve and self-confidence grows, stop needs to be increased. Raise it in 2 times too cool, but less, than one and a half – not seriously. Briefly speaking, уполторение – our choice:)


Part 2. Sizes.
If proper risk management combined with discipline and GERCHIK's golden rule is `` fuck it or fuck it" puts the teapot on let it be true, then competent size management distinguishes a successful trader from a mediocre one. If Seryoga
, the same mythical character, which I spoke about in my involuntary interview, force to trade all ideas in the same size – it will trade at 0 at best.

How to determine the size, who need to enter the position? First you need to decide for yourself, сколько вы готовы потерять в идее. The resulting value must be divided by an adequate stop in cents, round in any direction – get a size.
Example: idea of 50$, risk of cents 15, 50/0.15~300sh.

Now let's dwell on the most important – how much can you lose in a specific idea? In order not to blow up your brain, all ideas should be divided into three classes:
Класс С. Just fucking ideas (we are good boys and we don't sell any shit, Really?). These include approximately 80% all ideas. Depending on their trading style, they need to be willing to sacrifice 10% to 25% day stop.
Class B. Just HUGE ideas. Yet 15%. Such should be allocated 30-50%.
Class A. Top 5%, they happen once in a lifetime / year / month. Confidence in them must go off scale! 50-100%, even if the day is just beginning.

Example: Сферический стачок АВС падает в сильный день на повышенном объеме, runs into a large bid, on 7 cents higher a big offer is placed, prints go into it (ОМГ, he is real!), the stack has not yet made half of its daily range. Bid print out planned. This is a clear B. Let our stop 100$. Looks so good, that fifty dollars is not a pity. 50/0.07~700sh. Выход в распринт офера, now we make a plan for where and how to fix the profit and forward!

Belonging to a class – it is a function of many factors: market, stock fundamental, news, cup, volumes, where and how these volumes took place, тапе, sector, setap, then, how it looks on different time frames, риски ликвидности, risk-return and much more.
You need to constantly work on the skill of defining the class of ideas. It's incredibly difficult., including psychologically, but this is the grail, кроме шуток:)

Напоследок забавная история. Тот самый Серега как-то раз на моих глазах набрал 10к (mb and embellish, but five were there anyway:) on strike, which trades about 100-150 thousand. Not, not because he's fucked up (reread the post, ёба!), but because he was confident in the idea and was ready to leave the entire day stop in it. It all went wrong at once, and throwing such a size into the market would immediately put the strike on the Top Loosers list.:) Briefly speaking, he sat and covered himself all day. About an hour before closing, he completed the process, fixing the elk in one and a half pieces. Got up and left. The end of the story I think everyone guessed it: under the closing, the stack shot in his direction by almost a point.

Fucked on the nyse lightly))

They kicked me on the stacks lightly))My training on a new site is rather painful)) And breaks my mosk))Here's an example, последний

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