Sunday, January 30, 2011

Throat Infection Viral Duration

bull market?

test sentiment in the market is one branch of technical analysis and a stronger emphasis on the way behavioral analysis investors. There are two main psychological factors that lead investors to make decisions - greed and panic. Taking also other aspects such as involvement in the market - positioning, rate of open positions, creates a psychological portrait of the overall market.
There are some basic rules of what is described in this analysis:
- a more profitable is to address the position in accordance with the so-called attitude. smart money, or large individual or institutional investors - the investment involved as paid work,
- taking positions contrary to the majority of individual investors called. retail traders, since statistically the majority of this group take the wrong decisions and lose money,
- when the overall sentiment in the market is bull and reaches extremes in relation to the previous day, before a warning is also in the extreme prices, this is immediately note - in the market bull, although formed to extremes in sentiment and so follow the money at once above.
So what is the conclusion of the analysis and the market?
Personally, I am not convinced of the opinion that the bull market began, not even saying that this is somehow detached from the fundamentals, but pumping the cash markets for print, has a short-term effect - if it runs out of fuel a rocket will fall down. Cash, of course, will be printed to the death, but the paper itself does not create jobs and economic theories promoted by Bernanke, do not give a perfect application because of the many variables.
See how the market reacts to every rumor and ploteczkę, traders in fractions of seconds can knock indices by a few hundred points. this is not a healthy situation. On the other hand, has long been working strategy of "buy every dip," and the bear market in such a situation would not have taken place. The situation with which we deal is a phenomenon and it is hard to compare the behavior of past investors. So far
SP500 1300pkt not permanently raised, which is the determinant of the psychological. Now traders play a very important level, said gold breached the level of 1325 and closed above it. The market does not give a clear signal to buy the risk and to dispose of their risk portfolios. I myself am curious to see how solve in this situation and play on the growth of small items.

Tuesday, January 25, 2011

Hot Spot Inside Of Knee

Is investing in the market is easy? III

Individual investors tend to place the blame for their mistakes investment to the whole world around, but not for himself. In addition, some causes of behavioral heuristics that "view" on the market undergoes some deformation. Sam recently przećwiczyłem it on myself, having some good trade'ów this year on the account, I found that I was practically infallible (heuristics overconfidence), I began to transact business without a clear and sober view of the entire market - something missed. 30% loss woke theback lethargy, and found that my game vividly recalls a textbook example of an investor "infallible."
Some people do not realize that by investing their own money in the market, it's like setting up a business are profitable, are the losses are deductible expenses, and most importantly, should have a business plan, a map of profitable procedures and minimize loss. Perhaps some
approach to trading as a game of chance, but it is hard to predict above-average gains, because we are operating in the draw event having no impact on each other, ie independent of each other.
rules which I signed on the right side, are the essence of how I think traders should act in the market, I'm not saying that this is a complete and sacred truth, but by introducing these principles in the transaction, you can expect at least smaller losses;). I proved it last year.
Now on to the merits of that is what is happening in the market? Well, as I mentioned at some point I became what I call "investor infallible." It is a state of mind, where at some point, you can lose a sense of trading. I realized that yesterday a lady who wanted to have a quite bluntly impact on me and blame for their failed investment decisions.
market since Christmas almost all the time growing, I mean American equities. Indicators in the heavens and the earth shows that the bulls are heated to become czerowności and PKC. Like the theory predicts the imminent collapse of sentiment, and at least koretkę, and the market does not even think to make any such distributions zwałki and flies after moving averages as a highway to heaven. Of course enables me to red light, and this time makes no sense to play 5-10 flights, but rather a 2-3 darts central square to test and possibly take a smaller loss. However, when buying every sober-minded investor buys with them, now the issue is who will be dressed in expensive values \u200b\u200bat the top? On eurodolarze all the time we have a strong short squeeze, and anyone who has Short and not out on time with the position of the legs gets hard. Probably
sentiment in the market gently transforms. If we are talking about is the risk of buyer sentiment may be shares in favor of gold, the latter is a magical barrier 1325, so at least shows a graph.

Friday, January 21, 2011

Puppy Symptoms Of Intestinal Blockage



Probably time to admit the mistake and take a loss on the EURUSD, so this is how to fight the trend:), on the other hand I can afford a slightly higher loss for why leave the portfolio after the long side of the dollar. Rally which takes place from last week, I think it is rather weak value is not borne out in the market indices. Typical short squeeze, where the street gets the legs, but unfortunately I also was caught in the trap, now is the depth of the buffer portfolio.

Tuesday, January 18, 2011

Form: Simple Room Rental Form

dollar dollar dollar

For several days the EURUSD is apparently not at the level of 1.3300-1.3400 and looking at the stock market looks as if the market does not have spdać or even expressed a wish to do so. A lot of investors have been squeezed short positions by market pumped, let's remember that the trend will not last forever, you probably have the hardest when the bears begin to fall on the demand side it may be that, but the adjustment feet will come and tear off the least experienced. Still expecting a correction, although in anticipation of her loss accounts for 35% of my capital. On one hand, this strategy does not allow such a risk, on the other excuses about having to make some circumstantial evidence of sentence stating the strengthening of the dollar in the near future. So quietly waiting for developments.
draw attention to the positioning big players who have more trust in the transactions, the dollar than the euro, smaller investors have pumped the current traffic on the EURUSD and have discussed force overcome the resistance of 1.3430. Another issue is the rate of open positions in the EURUSD traded contracts on the CME. The movements are not endorsed the appreciation rate of growth, suggesting not only great strength of bulls, or rather, bears a stronger stance.
EURUSD-CME-GLOBEX

Friday, January 14, 2011

Monster Energy Drink Baby Cloths

II

acknowledged that I was dressed in U.S. dollars as the bream in the hole after 1.29, but the resistance of 1.34 for the time being holds, and once again be fought battle for the direction of motion. It was a new swing low or swing high the previous bull attack we resist? I am tempted to stand firmly for the dollar ...

Wednesday, January 12, 2011

Cake Sayings For Volunteer

Trap

accordance with the principle if you do not want to continue to grow is probably going to fall, I set up a larger part of the capital after a short side of the market. With high probability inflated raw metals in particular may include a larger correction, but some markets will get the same kick, now what to bet? Stocks, bonds? Or currency? Gold were killed 3 local peak at 1423.40 and, if not beat the good of this level is the strengthening U.S. dollar will help in a larger correction, the EURUSD has shown attractive level of sales of the single currency, let the power of the dollar will be with you, strategies for "all in" are mostly suicide therefore part of PART leaves safer than forex assets, I'm curious developments.

I set up the capital for the dollar, we'll see what happens

Tuesday, January 11, 2011

Appendicitis Statistics For 2010

correction? Where what and how? Strategy

The present scenario has come true actually declining in the EURUSD, given the continuing downward trend we have from the top to 1.42. Since yesterday, continues with the next revisions of growth and decline are retained, however, below the psychological level of 1.3. As So far the market is setting the pro dollars and the market clearly waiting for a pessimistic scenario, unless you are another trap, this time the bears ...
If we look at the SP500 and the overall U.S. market, you may notice a reluctance to exercise more than 1% correction, the previously discussed strategy zmyłkowy Summit 1281 gave a profit, but the market does not come down lower than the previous local support DJIA 11600, SP500 1262nd An interesting situation, my strategy is to address the short resistance and possible re-buy as the market does not penetrate the resistance of 1277.5. Can actually be too risky to play for fake killing top from this level. Overall, the sentiment of the market as weak, a small probability of formation of new peaks, and confirming their higher-hole, at least for now

Thursday, January 6, 2011

Diy Aluminum Boat Flooring

swing high / low

Any investor, trader, speculator builds its trading system, trading strategies already created by selecting, modifying them or individual creates the tools that will help him outwit the market (beat the market).
I remember once my boss, a good friend led training on strategies tradingowych day citing a number of different approaches to the market, trend detection, follow him. One such system was to identify the extremes of the graph of the test asset prices. The so-called swing trading in its main assumptions is to identify the peaks and wells at various time intervals. The new extremes, swing high, swing the new minimum is low, the strategy is the formation of support levels and resistance on these levels. If the price goes through the swing and closes above / below the level we have the input signal to the market. It's so roughly. There are also many exemptions and exceptions in this strategy and a matter of fact it is only a sketch of the strategy, because the individual make decisions and interpretations based dokonuemy the shape of candles, using a pointer or other well-known tactics of technical analysis.
swing trading strategy also speaks of a so-called corrections. pull backs (relapses) are corrective waves, which are more or less fixed range, and usually it is 50% of the trend, the longest candle on which this adjustment takes place.
interesting deviation from the theory are known. Bulls / Bears Traps (trap). This move took place today where the market tested the SP500 previous swing high and for a moment above the intraday closed, probably played some of the killing, or even pull back, then the market turned around quickly to the south and the bulls suffered sizeable piercing pain when resistance has been infringed.
so much when it comes to theory, it is known that in practice, we as traders make decisions, and rarely have to do with books in the market realistic examples. I will not go into the discussions on this topic. Lets say the swing trading is a very simplified Elliott, which also allow traders as more and more deviations from the applicable rules.
summarize it this way: as someone already found the holy grail to let everybody know: P

SP 500 H1 :


Market will also take into account data from the U.S. labor market, where at 14:30 payrolls are expected to nearly fourfold increase from 39 thousand to 159 thousand. Indicator ahead of the contract and theoretically ps'y ADP gave a signal improvement in the labor market in the U.S.. As for the strategy of short selling the index is likely to bring the data and determine responses to the U.S. session, but I would consider a false slaughter, bearing in mind the daily closing below the swing high.

Wednesday, January 5, 2011

Roms Gba Pokemon De Cydia

Until tear off ...

Today I met with the opinion: "You see, this will be a decrease in the SP500 that breaks off all the eggs." Probably something like this might be, Santa Claus rally was prolonged and the shares gain sharply in the new year. However, I would consider at this time to buy long positions because the profit to risk is not promising, perhaps even increase the market last ounce of strength or a new buyer will flow, but it will be a very risky strategy. Obstawiałbym strong correction, however, difficult to assess whether investors wyprzedadzą indexes as much as many would chiało. As for this momenc struggle to raise the swing high of about 1277.5. As for the euro-dollar checks is there a scenario reflecting the resistance at 1.3430 and so far the new minimums are determined, is also be careful because the return to risk is also not appetizing, I have a short position, however, make new contracts with at least pause to signal the end of a pullback in the worst case, 1.3200, although this is probably today. Here a note on this level of 1.3090 holes gives local support and playing the puncture is risky
paste at the end of the comment interesting graph showing the CME futures on large SP500, its volume and number of open positions:

Monday, January 3, 2011

Does Pubic Hair Come Before Periods?

New year, new challenges

still speculate EURUSD on contracts, and so I wonder quite strong resistance at 1.3430, as you may think or stand empty, in this area sets up briefly for a week, but slowly I'm losing patience, and in spite of profit taking when the price goes down more I am convinced that the market will fall. Last week we played harder in the currency and portfolio got a pretty good kick, plus realized gains on most U.S. companies in my portfolio and wait until the end of the market correction to once again purchase the cheaper value. I have also unrealized losses on the SP500 index and the DJA, and has treated these instruments as collateral, and now comes the time for speculation, and is quite sharp.
altering the formula a little blog and I will try to further comment on the current market situation and monthly summaries of the portfolio will be due to a longer horizon and currency structure of the portfolio.