Trading

An exciting activity.

I spent the whole evening at the chartgame, tried different approaches. Did 2000%, then lost, as a result settled on 1650% :) Falltrending, unequivocally, более прибыльный (not for nothing, на нем стремительно поднялись различные “market cycle guru”), but in what sense, if there is a successful stock, and jumped in the direction of disclosure “fans of medium”, then there and 70 And 100% maybe without any shoulders (buy & holders applaud their own genius, if the market has grown, certainly). But now it falls into flat, or saw, the deposit is being cut, which is now at the LCHI for many and we observe. If the shoulders are used, you can cut to zero. Counter trend too, gives you a stable income, but on some stocks the strength of the trend is very powerful. It seems to be overbought, nowhere higher, and divergence, and the price keeps increasing. In a word, combined method – foreva, there is one difficulty with him, Really. When you often follow the trend, for example – see no signs of a reversal, the eye gets blurry, you adapt to the method, narrowness of perception occurs, actually, this is the main problem of traders, using a specific methodology for a specific market. We need to think wider, and watch more timeframes.
By the way, simulators like this help to change your point of view on some things.

Silver.

Interesting, there are still people who want to shorten it?
Although the current levels look very attractive, yes and point, the upper boundary of the ascending channel hints. Growth, the truth is already on a parabola, and can endure even higher.

Certainly, the theme of shorts can be moved to the section soon “humor”. А что изменилось, by and large, с августа, or yeast? Well do you remember these predictions. S&P500 per 1300, потом по 950, euro to par with the dollar, remember?… Etc. In my opinion, сделана ставка на то, to drive the market up and down. Pulling out an idea, inflate, выпускают. Now I sit at the computer a lot, therefore, there is a strong information attack, presing such “Buy, Buy”… It was the same in the spring. In August, when I was resting, and hardly tracked the markets, bought quietly from certain levels, and was right in the end, sold before, and did everything right too. But now, to my mind, just hysteria, it is understandable, взбодрились, who bought at the MICEX 1500 and S&P 1200, sit out the loss so much, it is possible to get under way :)

About the shoulders.

It turns out that yesterday a lot of people otmarzhinkolilo. Many people know my attitude to shoulders and large market risks.. So here, who trades relatively recently, and considers, what now took 5%, yesterday 15% and it will always be so. Не будет этого. All the more surprising, when adults and experienced people trade with big shoulders, drained. Carrying money again, Sort of, was force majeure, but now I will be disciplined… I am amused now by a comment on the blog of a respected trader, что-то типа: “Bought on your recommendation on all shoulders, took more 20% arrived, счастлив” And if the recommendation turned out to be wrong? There would have been a minus on the account 20%? At the beginning of my forex activity, I had periods, when steadily increasing profits, 60% in Week, 350% in two months (used one chip) – basin, +60%,+60%,-50%….+10% -100%. The drain always took place, sometimes after two weeks, sometimes after six months, but it was inevitable. About blah blah blah, that there is a positive expectation, if i put a loss 2%, a profit 50%. A long series of losing trades ALWAYS leads to tilt. Если вы получите 10 moose in a row (unless you are of course a robot), there will be a desire to recoup, do not take a loss, усредниться, and if the market goes your way, недоберете прибыль, because. want to fix what is. So I say it again – shoulders – evil, which in most cases nullifies the deposit. By your stupidity, you give money to big players, all your short feet, маржин-коллы – all this gives an additional impetus to the movement. As they say – last buyers on the market – the Bears, departed by MS. Even with super stable trading, and iron mind, maybe force majeure, communication failure, power outage. And the recovery of the lost 50-60% от счета, not at all the same, what recovery 10%.
Such is the post turned out, good luck :)

I am in thought…

On the one side, MICEX is still within the forecast, with another – too aggressive growth in Sberbank, despite overbought and divergence. Yes, and Americans are growing. The closure of the states will partially clarify the situation, I think.

UPD. In April-May he also shorted, and also thought to hide behind, I dropped something. Now I watched the chat – many optimists, and I liked the replica:
“[ 19:23:26 – Скорпионъ ] : I reread the chat for May 2008 of the year, especially 3 days to the maximum, there were the same optimists without exception”

Tusa options

Туса опционщиковLowrisk.ru на RTSНу корочеПомню я, 15 minutes late… I go to the hall… looking for familiar faces, I think who I would sit with – I don't find anyone…

Like – I do not like…

Like: Long in some papers, about which I wrote yesterday, for example in Surgut. Gazprom is good too.
Strongly dislike: eurodollar short. Obviously underestimated him :(

Liquidity dried up?

Feeling, that there is no new money for the RDF, chasing what is. I am not tracking the second echelon now, but “shots” in some thin papers serve as indirect confirmation. However, in the top ten it is also noticeable. Dropped Norilsk Nickel well, Gazprom, Surgut, now buy off. VTB on the approach. With longs for Lukoil and Severstal, I would be opposite, beware.
Bubble in euro and gold amaze and delight at the same time. To what level will they inflate? However, gold removal is higher 1300 was expected enough – many shorted it, including. and I (really came out in the morning on the sink), some averaged. Logged in now, we will observe further.

I'm not the only one of this opinion.

So the administration of the service gives a good assessment of the trader's trading signals., о котором я упоминал http://maxim-pr.livejournal.com/160823.html

Some of them can be proud of excellent profit, but the other can boast of incredible stability level and risk-management, just like Muney. His trading signals are selling like hot cakes, because he has no losing months at all throughout the performance on our service. And at the same time the account growth of 45% in 26 weeks is really impressive result, if we take into consideration the fact, that maximum drawdown for this time counts only 6.6%. Don’t lose your chance to have follow such stable signals!

I am an investor – would invest in a similar strategy, not in 1000% with a drawdown in 60-70%.
However, to each his own.

What's around the bend?…

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In a few days everything will change, gold will fade, October will come…

Листопад, end of quarter, Level 1300… who is in the subject, тот понял :)

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